|52 Week Rng||-|
|P/E Ratio (TTM)||-|
|P/E Ratio (Fwd)||-|
|Div & Yield||-|
Balancing towards 1.9-2.0 leverage. Same rationale as before:
Very low P/E ratio. Risky share due to high gearing, and high P/B, but good earning potential if the management succeeds in slowing down the revenue downtrend and manages to keep the company profitable.
According to the fund’s strategy, the fund buys long 5 % of the S&P 600 small-cap value stocks that have the lowest P/E ratios.