Old Mutual (Ireland) Financial Indicators Patterns

F00000VCH1 -- Ireland Fund  

GBp 1,041  8.00  0.76%

We recommend you to use Old Mutual Global fundamental analysis to see if markets are presently mispricing the entity. In other words you can utilize it to find out if Old Mutual Global is indeed mispriced or if you can make any profits on it by purchasing it and then waiting for the market to recognize its mistake and reprise the security. . We found six available financial ratios for Old Mutual Global which can be compared to its competitors. Please check Old Mutual Global Last Dividend Paid as well as the relationship between Cash Position Weight and Bond Positions Weight to decide if Old Mutual Global is priced adequately. Use Old Mutual to protect against small markets fluctuations. The fund experiences moderate downward daily trend and can be a good diversifier. Check odds of Old Mutual to be traded at p;1020.18 in 30 days

Old Mutual Company Summary

The objective of the Fund is to seek to achieve asset growth through worldwide investment in a well-diversified portfolio of fixed or variable rate debt securities. Old Mutual is traded on Irland Stock Exchange in Ireland.

Old Mutual Minimum Initial Investment vs Bond Positions Weight

Old Mutual Global Bond U1 GBP is one of the top funds in minimum initial investment among similar funds. It is one of the top funds in bond positions weight among similar funds . The ratio of Minimum Initial Investment to Bond Positions Weight for Old Mutual Global Bond U1 GBP is about  1,137,139 

Old Mutual Market Fundamentals

 Quote1041.00
 Change(%) 0.76%
 Change8.00 
 Open1049.0
 Low1041.0
 High1041.0
 Volume1.000
 ExchangeISE

Distress Rating

Old Mutual Financial Distress Probability

45% 
Chance of Financial Distress
Old Mutual Global Bond U1 GBP has less than 45 (%) percent chance of experiencing financial distress in the next 2 years of operations. More Info

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Old Mutual Opportunity Range

October 17, 2018 Opportunity Range

Additionally see Investing Opportunities. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.
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