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    Tributary Short-Intermediate Bond Fd Insti (FOSIX)

    Price:

    9.13 USD

    ( + 0.02 USD)

    Your position:

    0 USD

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    Symbol
    FOSIX
    Name
    Tributary Short-Intermediate Bond Fd Insti
    Industry
    Asset Management - Bonds
    Sector
    Financial Services
    Price
    9.130
    Market Cap
    227.629M
    Enterprise value
    269.456M
    Currency
    USD
    Ceo
    Full Time Employees
    Website
    Ipo Date
    1992-12-14
    City
    Omaha
    Address
    1620 Dodge Street

    Check the

    KEY TAKEAWAYS

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    SIMILAR COMPANIES STI SCORE

    Similar STI Score

    JPMorgan Core Bond Fund Class R2

    VALUE SCORE:

    3

    Symbol
    JCBZX
    Market Cap
    50.013B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services

    2nd position

    Vanguard Emerging Markets Government Bond Index Fund

    VALUE SCORE:

    12

    Symbol
    VWOB
    Market Cap
    4.937B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services

    The best

    Vanguard Long-Term Corporate Bond Index Fund

    VALUE SCORE:

    12

    Symbol
    VCLT
    Market Cap
    7.531B
    Industry
    Asset Management - Bonds
    Sector
    Financial Services
    FUNDAMENTALS
    P/E
    70.688
    P/S
    34.952
    P/B
    1.828
    Debt/Equity
    0.400
    EV/FCF
    81.624
    Price to operating cash flow
    -1.000
    Price to free cash flow
    -1.000
    EV/sales
    42.600
    Earnings yield
    0.014
    Debt/assets
    0.275
    FUNDAMENTALS
    Net debt/ebidta
    126.164
    Interest coverage
    0
    Research And Developement To Revenue
    0
    Intangile to total assets
    0
    Capex to operating cash flow
    0
    Capex to revenue
    0
    Capex to depreciation
    0
    Return on tangible assets
    0.018
    Debt to market cap
    0.219
    Piotroski Score
    6.000
    FUNDAMENTALS
    PEG
    0.707
    P/CF
    67.042
    P/FCF
    67.116
    RoA %
    1.780
    RoIC %
    1.419
    Gross Profit Margin %
    100.000
    Quick Ratio
    0.767
    Current Ratio
    0.767
    Net Profit Margin %
    49.499
    Net-Net
    -2.111
    FUNDAMENTALS PER SHARE
    FCF per share
    0.136
    Revenue per share
    0.261
    Net income per share
    0.129
    Operating cash flow per share
    0.136
    Free cash flow per share
    0.136
    Cash per share
    0
    Book value per share
    4.995
    Tangible book value per share
    4.995
    Shareholders equity per share
    4.995
    Interest debt per share
    1.996
    TECHNICAL
    52 weeks high
    9.130
    52 weeks low
    8.970
    Current trading session High
    9.130
    Current trading session Low
    9.130
    DIVIDEND
    Dividend yield
    3.55%
    Payout ratio
    123%
    Years of div. Increase
    1.000
    Years of div.
    34.000
    Q-shift
    Dividend per share
    0.324
    SIMILAR COMPANIES
    DESCRIPTION

    Under normal market conditions, the Advisor intends to invest primarily all, but must invest at least 80%, of its net assets, plus any borrowing for investment purposes, in fixed income securities. The fund invests primarily in debt securities rated within the four highest credit categories (AAA, AA, A, BAA, or equivalent) by at least one nationally recognized statistical rating organization, or if unrated, deemed to be of comparable quality by the fund's sub-adviser, First National Fund Advisers.

    NEWS