CRF

Cornerstone Strategic Return Fund

Price

$7.42

return (12m)

- Logo

p/e

3.42

p/bv

1.06

DIVIDEND YIELD

19.85%
graph

CRF price

Select period
Select period
Cornerstone Strategic Return Fund
If you had invested
If you had invested
exposure
years ago
7 days
30 days
6 months
YTD
1 year
5 years
10 years
15 years
ago, you would now have *
ago, you would now have:
*
*This calculation reflects price variation only.

Return on Investment CRF

1 month
3 months
1 year
2 years
5 years
10 years
return
1 month
0.00%
3 months
0.00%
1 year
0.00%
2 years
0.00%
5 years
0.00%
10 years
0.00%
Fundamental indicators

Fundamentals CRF

Check the fundamentals of Cornerstone Strategic Return Fund shares.

Valuation

P/E
3.42
Sector 7.71
Industry 7.71
P/BV
1.06
Sector 2.13
Industry 2.13
P/Revenue (PSR)
3.40
Sector 2.25
Industry 2.25
EV/EBITDA
-
Sector -62,810,552.92
Industry -62,810,552.92
EV/EBIT
-
Sector -61,349,361.50
Industry -61,349,361.50
P/EBITDA
-
Sector 3.04
Industry 3.04
P/EBIT
-
Sector 1.24
Industry 1.24
P/Total Assets
1.06
Sector 0.99
Industry 0.99
P/Net Current Assets
-926.95
Sector -95.95
Industry -95.95
P/Working Capital
-
Sector -22.08
Industry -22.08
EPS
2.07
Sector 0.72
Industry 0.72
BVPS
6.68
Sector 10.38
Industry 10.38

Efficiency

Gross Margin
0.00%
Sector 31.71%
Industry 31.71%
EBITDA Margin
0.00%
Sector -27.37%
Industry -27.37%
EBIT Margin
0.00%
Sector -1.48%
Industry -1.48%
Operating Margin
0.00%
Sector 4.74%
Industry 4.74%
Net Profit Margins
99.32%
Sector 2.92%
Industry 2.92%
Asset Turnover
0.10
Sector 0.11
Industry 0.11

Profitability

ROE
30.95%
Sector 2.46%
Industry 2.46%
ROA
30.92%
Sector -0.15%
Industry -0.15%
ROIC
0.00%
Sector -129.35%
Industry -129.35%

Dividends

Dividend yield
19.85%
Sector 0.73%
Industry 0.73%
Payout
67.89%
Sector 13.45%
Industry 13.45%

Debt

Current Ratio
-
Sector 1.19
Industry 1.19
Net Debt / EBITDA
-
Sector 1.96
Industry 1.96
Net Debt / EBIT
-
Sector 1.42
Industry 1.42
Net Debt / Equity
0.00
Sector -0.66
Industry -0.66
Gross Debt / Equity
0.00
Sector 0.23
Industry 0.23
Equity/Assets
1.00
Sector 0.42
Industry 0.42
Liabilities/Assets
0.00
Sector 0.53
Industry 0.53

Growth

5Y Revenue CAGR
25.31%
Sector -
Industry -
5Y Earnings CAGR
25.32%
Sector -
Industry -
RETORNO DO INVESTIMENTO

FAIR VALUE OF Cornerstone Strategic Return Fund ACCORDING TO BENJAMIN GRAHAM

Graham's Fair Value

The Fair Value formula was created by Benjamin Graham to identify stocks with appreciation potential or that are being traded for less than they are worth. Graham was one of the greatest investors in history and Warren Buffett’s mentor.

Current price

$7.42

Fair Value

$17.64

Upside Return potential.

137.88%
Because it considers equity value in its calculation, this formula may not work well for technology companies.
This is not a buy/sell recommendation; the fair value calculation takes into account only the formula created by Benjamin Graham, published in the book The Intelligent Investor.
Histórico de indicadores fundamentalistas

Fundamentals CRF

Buy And Hold Investor Checklist

Cornerstone Strategic Return Fund Buy And Hold Investor Checklist

Price

CRF Historical Dividends

current DY: 19.85%

5-year average DY: 32.98%

ABOUT

Logo Cornerstone Strategic Return Fund

Cornerstone Strategic Return Fund

Average Investor10 user rating

4.0 (0 people)

States of America

States of America

- year

Founded:

Time since IPO - - year

-

Employees

Market cap

$1.11 billion

$1.11 billion

Net worth

$1.05 billion

$1,049,410,000.00

Assets

$1.05 billion

$1,050,600,000.00

Total Shares Outstanding

157.00 million

157,000,000

Average Daily Trading Volume

$1.19 million

$1,194,786.76

Sector

Outros

Industry

Outros

Shares

receitas e lucros

CRF revenue and profits

graph

PROFIT X PRICE CRF

Financials

Financial Results CRF

DRAG THE FRAME TO SEE MORE DATA
Financials

CRF cash flow

DRAG THE FRAME TO SEE MORE DATA
Ativos e Passivos

Asset, Revenue and Profit Growth - CRF

Pontos Relevantes

CRF balance sheet

DRAG THE FRAME TO SEE MORE DATA

Frequently Asked Questions

What is the price of Cornerstone Strategic Return Fund (CRF) today?

A cotação de Cornerstone Strategic Return Fund (CRF) hoje está em US$ 7.42, com uma variação de 0% em relação ao último ano. A cotação de Cornerstone Strategic Return Fund (CRF) iniciou o ano negociando na casa dos US$ 8.01 e hoje está em US$ 7.42. Acompanhe o gráfico de cotação em tempo real, a cotação histórica de Cornerstone Strategic Return Fund (CRF) e dados de ações do Ibovespa e mercados internacionais.

Quando Cornerstone Strategic Return Fund (CRF) paga dividendos?

Cornerstone Strategic Return Fund (CRF) distribuiu dividendos no último ano,in the months of January, February, March, April, May and June totalizando R$ 0.71. O Dividend Yield referente aos 12 últimos meses é de 19.85%.

Is Cornerstone Strategic Return Fund (CRF) a good investment?

Atualmente, Cornerstone Strategic Return Fund (CRF) está cotada a US$ 7.42, com um P/L de 3.42, representando um desvio de -228% em relação ao seu P/L médio histórico. No último ano, a ação apresentou uma variação de 0 em sua cotação e distribuiu US$ 0.71 em dividendos, resultando em um Dividend Yield de 19.85%. O retorno total do acionista foi de 0.00%.

Investors should keep in mind that past performance does not guarantee future results. This information is provided for educational purposes only and should not be considered investment advice.

How can I buy Cornerstone Strategic Return Fund (CRF) stock?

Investir em ações de Cornerstone Strategic Return Fund (CRF) pode ser feito de duas formas: comprando a stock uma empresa estrangeira e é atrelado ao dólar.

How much would 100 shares of Cornerstone Strategic Return Fund (CRF) yield today?

A rentabilidade de Cornerstone Strategic Return Fund (CRF) foi de 0.00% no último mês, 0.00% no último ano e 0.00% nos últimos 5 anos (já considerando valorização e dividendos).

Nos últimos 12 meses, a empresa pagou um total de US$ 1.41 em dividendos, um Dividend Yield de 19.85%.

Se você quisesse comprar 100 ações de Cornerstone Strategic Return Fund (CRF) hoje, o investimento total seria de US$ 741.50, com base na cotação atual de US$ 7.42.

Based on historical performance, the investment would have grown to approximately:

  • Em 1 ano: US$ 741.50
  • Em 5 anos: US$ 741.50
  • Em 10 anos: US$ 741.50

Past performance does not guarantee future results. This content is for informational purposes only and should not be considered investment advice.