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PALC | US
-0.21
-0.39%
Other
Other
01/01/1970
24/04/2026
54.04
54.08
54.19
53.98
The index uses an objective rules-based methodology to provide exposure to large-capitalization U.S. companies. Under normal circumstances the fund will invest at least 80% of its net assets plus the amount of any borrowings for investment purposes in securities of large cap companies. It is non-diversified.
View LessPositive Momentum
Low 6-Month Volatility (<30%)
Microcap (<300M USD)
High Market Beta (> 0.8)
Bearish: Increased Volatility (6-month > 1-month volatility)
10 days
8.0%1 month
12.1%3 months
13.2%6 months
12.6%-
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Short-term: Bullish (SMA10D > SMA1M)
Intermediate-term: Bearish (SMA1M < SMA3M)
Long-term: Bullish (SMA6M > SMA12M)
Range10D
1.38
Range1M
3.66
Range3M
5.22
Rel. volume
0.37
Price X volume
327.54K
Name | Ticker | Industry | Close | Marketcap | Day Return | PE Ratio | Debt to Equity |
|---|---|---|---|---|---|---|---|
No data | |||||||
Name | Ticker | Industry | Close | Marketcap | Day Return | PE Ratio | Debt to Equity |
|---|---|---|---|---|---|---|---|
No data | |||||||
| Parameter | Company | Industry | Indicator |
|---|---|---|---|
| Enterprise to EBITDA | - | -41.09 | - |
| Ent. to Revenue | - | 9.71 | - |
| PE Ratio | - | 18.77 | - |
| Price to Book | - | 2.72 | - |
| Dividend Yield | - | 7.82 | - |
| Std. Deviation (3M) | 13.16 | 60.87 | Lower Risk |
| Debt to Equity | - | 0.81 | - |
| Debt to Assets | - | 0.29 | - |
| Market Cap | - | 3.69B | - |