Analisis Keuangan Saham FSPM11 - F3 Fundshares Portfolio Fundo De Investimento Multimercado (BOVESPA) Stock

F3 Fundshares Portfolio Fundo De Investimento Multimercado
BR ˙ BOVESPA
Gambaran Umum
Ang F3 Fundshares Portfolio Fundo De Investimento Multimercado ay isang multi-market investment fund na nakabase sa Brazil, pangunahing nakikibahagi sa magkakaibang hanay ng mga financial market kabilang ang mga equities, fixed income, at derivatives. Bilang isang multimercado fund, gumagamit ito ng mga flexible na diskarte sa pamumuhunan upang ayusin ang portfolio nito sa iba't ibang klase ng asset bilang tugon sa nagbabagong kondisyon ng merkado, na naglalayong i-maximize ang return on investments habang pinamamahalaan ang panganib. Kabilang sa mga pangunahing inisyatiba ng pondo ang paggamit ng mga sopistikadong instrumento at diskarte sa pananalapi tulad ng hedging at leverage, upang samantalahin ang mga pagkakataon sa merkado. Nakatuon ang pondo sa pagkamit ng balanseng paglago sa pamamagitan ng pabago-bagong muling paglalagay ng mga mapagkukunan alinsunod sa pagsusuri sa merkado at mga pang-ekonomiyang tagapagpahiwatig, na sumasalamin sa malawak na diskarte sa kontemporaryong tanawin ng pamumuhunan.
Skor Kualitas, Nilai, dan Momentum

Kartu ini menunjukkan skor Kualitas, Nilai, dan Momentum untuk perusahaan tersebut.

Kualitas

The QualityScore is a proprietary scoring model that identifies high quality companies, based on cash generating efficiencies.

Nilai

Model penilaian eksklusif yang memberi peringkat pada perusahaan berdasarkan valuasi relatifnya. Skor berkisar antara 0 hingga 100, dengan 100 sebagai yang paling diremehkan nilainya.

Momentum

Proprietary scoring model that ranks companies on their six-month momentum.

Sentimen Dana

Skor Sentimen Dana (sebelumnya dikenal sebagai Skor Kepemilikan) adalah model kuantitatif eksklusif yang memberi peringkat pada perusahaan berdasarkan tingkat akumulasi kepemilikan.

QVM

The QVM Score is a proprietary scoring model that combines Quality, Value, and Momentum into a single metric that ranks companies from 0 to 100.

Laporan Laba Rugi: Pendapatan, Laba Operasional, Laba Bersih
Period End (TTM) Revenue (MM) Operating Income (MM) Net Income (MM)
Laporan Laba Rugi: EPS
Period End (TTM) Earnings Per Share Basic Earnings Per Share Diluted
Arus Kas: Operasi, Investasi, Pendanaan
Period End (TTM) Cash From Operating Activities (MM) Cash From Investing Activities (MM) Cash From Financing Activities (MM)
Metrik Penilaian: PE, PriceToBook, PriceToTBV
P/Book
The current closing price divided by the book value per share.
P/TBV
The current price divided by the tangible book value per share.
Period End (TTM) p/e P/Book P/TBV
Metrik Penilaian: EBitToEv, EBit3YrAvgToEv
Period End (TTM) EBIT/EV EBIT (3y)/EV
Efektivitas Manajemen
Period End (TTM) ROA ROE ROIC (Tingkat Pengembalian Investasi Modal) CROIC OCROIC
Gross Margins
Margin Kotor
The Gross Margin is the ratio of revenue left after substracting the Cost of Goods Sold. It is calculated as 1.0 - (Revenue - COGS ) / Revenue.
Margin Keuntungan Bersih
Margin Bersih (juga dikenal sebagai Margin Keuntungan) adalah rasio pendapatan yang tersisa setelah dikurangi Pendapatan Bersih. Perhitungannya adalah Pendapatan Bersih / Pendapatan.
Margin Operasi
Margin Operasi adalah rasio pendapatan yang tersisa setelah dikurangi Pendapatan Operasi. Perhitungannya adalah Pendapatan Operasi / Pendapatan.
Period End (TTM) Margin Kotor Margin Keuntungan Bersih Margin Operasi
Pengenal dan Deskriptor
Kunci Indeks Pusat (CIK)
Grupong Pang-industriya
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