LVAFX
Price:
$10.99
Market Cap:
$9.64M
The fund invests primarily in equity securities of companies located throughout the world. Normally, it will invest in at least three countries, including the United States, and at least 40% of its assets will be invested in non-U.S. companies, in both developed and emerging market countries. Although the fund may invest in securities of companies of any size, it generally invests in companies with market capitalizations of $100 million or more at the time of purchase.
Industry
Asset Management - Global
IPO Date
2014-06-26
Stock Exchange
NASDAQ
Ticker
LVAFX
According to LSV Global Managed Volatility Fund’s latest financial reports and current stock price. The company's current PE Ratio is 12.71. This represents a change of -38.20% compared to the average of 20.57 of the last 4 quarters.
The mean historical PE Ratio of LSV Global Managed Volatility Fund over the last ten years is 3.67. The current 12.71 PE Ratio has changed 34.49% with respect to the historical average. Over the past ten years (40 quarters), LVAFX's PE Ratio was at its highest in in the August 2021 quarter at 61.43. The PE Ratio was at its lowest in in the August 2018 quarter at -77.51.
Average
3.67
Median
10.81
Minimum
-81.00
Maximum
66.27
Discovering the peaks and valleys of LSV Global Managed Volatility Fund PE Ratio, unveiling quarterly and yearly fluctuations to gain insights into the company’s financial performance and market dynamics, offering valuable data for investors and analysts alike.
Maximum Annual Increase = 557.54%
Maximum Annual PE Ratio = 66.27
Minimum Annual Increase = -801.78%
Minimum Annual PE Ratio = -81.00
Year | PE Ratio | Change |
---|---|---|
2023 | -42.28 | 448.96% |
2022 | -7.70 | -210.91% |
2021 | 6.94 | -108.57% |
2020 | -81.00 | -801.78% |
2019 | 11.54 | -70.96% |
2018 | 39.74 | -40.04% |
2017 | 66.27 | 557.54% |
2016 | 10.08 | -15.37% |
2015 | 11.91 | -43.94% |
2014 | 21.24 | 94.03% |
The current PE Ratio of LSV Global Managed Volatility Fund (LVAFX) is greater than its 3-year, greater than its 5-year, and greater than its 10-year historical averages
3-year avg
-14.35
5-year avg
-22.50
10-year avg
3.67
LSV Global Managed Volatility Fund’s PE Ratio is greater than LSV Global Value Fund (0), greater than Chautauqua Global Growth Fund - Investor Class (0), less than Ariel Global Investor (0), greater than Artisan Sustainable Emerging Markets Fund - Investor Shares (0), greater than null (0),
Company | PE Ratio | Market cap |
---|---|---|
0 | $76.78M | |
0 | $381.17M | |
0 | $49.60M | |
0 | $242.38M | |
0 | $0 |
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How does the current PE Ratio for LSV Global Managed Volatility Fund (LVAFX) compare to its historical average?