Broadridge Financial Net Cash Flow Business Acquisitions and Disposals Trend

BR -- USA Stock  

USD 118.17  0.33  0.28%

This module enables investors to look at Broadridge Financial various fundamental indicators over time in order to gain insight into the company future performance. Macroaxis historical fundamental analysis tools allow evaluation of not only typical financial statement drivers such as Consolidated Income of 361.8 M, Cost of Revenue of 2.3 B or Earning Before Interest and Taxes EBIT of 551.6 M, but also many exotic indicators such as Interest Coverage of 22.8089, Long Term Debt to Equity of 1.01 or Calculated Tax Rate of 40.0596. This module is a perfect complement to use when analyzing Broadridge Financial Valuation or Volatility. It can also complement various Broadridge Financial Technical models. Check also analysis of Broadridge Financial Correlation with competitors.
Showing smoothed Net Cash Flow Business Acquisitions and Disposals of Broadridge Financial Solutions with missing and latest data points interpolated. A component of Net Cash Flow from Investing representing the net cash inflow (outflow) associated with the acquisition & disposal of businesses
Net Cash Flow Business Acquisitions and Disposals10 Years Trend
Increasing
Slightly volatile
 Net Cash Flow Business Acquisitions and Disposals 
      Timeline 

Regression Statistics

Arithmetic Mean (120,062,745)
Geometric Mean  90,203,378
Coefficient Of Variation (89.06)
Mean Deviation  82,835,294
Median (62,352,941)
Standard Deviation  106,931,625
Range  325,600,000
R Value  0.48
R Squared  0.23
Significance  0.12
Slope  14,124,188

Broadridge Financial Net Cash Flow Business Acquisitions and Disposals Over Time

2016-12-31 (53,000,000) 
2017-12-31 (53,000,000) 
2018-12-31 (62,352,941) 

Other Fundumenentals

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Broadridge Financial Upcoming Company Events

Upcoming Quarterly ReportMay 4, 2017
Next Earnings ReportAugust 8, 2017
Check also analysis of Broadridge Financial Correlation with competitors. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.
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