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Columbia fundamentals

 
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Columbia Acorn A

Fund@NASDAQ Stock Exchange 
United States USD
     
Exercise Columbia Acorn A fundamental analysis to find out if markets are presently mispricing the fund. In plain English this interface allows you to check available fundamental drivers of Columbia as well as the relationship between them. We found sixteen available ratios for Columbia Acorn A which can be compared to its rivals. Use Columbia Annual Yield, Ten Year Return as well as relationship between Ten Year Return and Equity Positions Weight to make sure your decision on pricing Columbia is adequate.

Columbia Net Asset vs Three Year Return

Columbia Acorn A is rated below average in net asset among similar funds. It is rated below average in three year return among similar funds . The ratio of Net Asset to Three Year Return for Columbia Acorn A is about  824,258,521 

Columbia Fundamentals

    
 Better Than Average     
    
 Worse Than Average Compare Columbia to competition
ColumbiaPeer Average
Price to Earning
18.60 times
7.88 times
Price to Book
2.39 times
1.04 times
Price to Sales
1.46 times
0.69 times
Annual Yield
0.19 %
0.99 %
Year to Date Return
6.23 %
3.03 %
One Year Return
(2.33) %
1.03 %
Three Year Return
22.59 %
4.94 %
Five Year Return
1.79 %
0.29 %
Ten Year Return
8.23 %
1.26 %
Net Asset
18.62 B
623.99 M
Minimum Initial Investment
2 K
732.99 K
Last Dividend Paid
0.06
0.75
Holdings Turnover
16.00 %
56.12 %
Equity Positions Weight
98.85 %
45.80 %
Chance of
Bankruptcy
Less
Than
24%
In The Next
Two Years
Columbia Acorn A has less than 24.84 (%) percent chance of experiencing financial distress in the next 2 years of operations.
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Columbia Research Report

Columbia vs. T Rowe

Correlation analysis and fundamentals comparison between Columbia Acorn A and T Rowe Price MidCap

Compare Columbia To

Columbia Selected Financial Ratios

Price to Earning vs Year to Date Return
Price to Sales vs Last Dividend Paid
Price to Earning vs Minimum Initial Investment
Equity Positions Weight vs Last Dividend Paid
Price to Earning vs Three Year Return
Price to Book vs Last Dividend Paid
Price to Earning vs Holdings Turnover
Ten Year Return vs Last Dividend Paid

 
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