13.65MMarket Cap0.14P/E (TTM)
0.060High0.045Low19.30KVolume0.050Open0.050Pre Close927.50Turnover0.11052wk High0.02%Turnover Ratio227.50MShares0.04552wk Low0.425EPS TTM5.87MFloat Cap3.450Historical HighLossP/E (Static)97.82MShs Float0.045Historical Low-0.562EPS LYR30.00%Amplitude--Dividend TTM0.16P/B100Lot Size--Div YieldTTM
ANNUM Stock Forum
●Nasdaq and S&P 500 Reach Record Highs Ahead of Nvidia Earnings
●Bursa Malaysia Launches Trading Reminders Tool to Highlight Unusual Trading Activity
●Retail Investors in Malaysia Continue to Sell Local Equities Despite Foreign Interest
●Stocks to watch: Public Bank, KLK
-moomoo News MY
Wall Street Summary
On Monday, the $Nasdaq Composite Index (.IXIC.US)$ and the ...
●Dow Jones Gains Over 300 Points as Jobless Claims Report Boosts Rate-Cut Expectations
●Malaysia to Remain Asia-Pacific's Largest Islamic Banking Market, Says S&P Global Ratings
●Ringgit Weakening Due to Strong US Dollar, Not Weak Fundamentals, Says Bank Negara Deputy Governor
●Stocks to watch: Scientex, Mr DIY
-mo...
This then begs the question. Should the correlation be based on price or some business fundamentals?
The ideal case is to have uncorrelated stocks based on both market price and business performance correlation. This will achieve diversification that address...
No comment yet