Zisková marža spoločnosti Vivaldi Opportunities Fund

Aká je hodnota metriky Zisková marža spoločnosti Vivaldi Opportunities Fund?

Hodnota metriky Zisková marža spoločnosti Vivaldi Opportunities Fund je N/A

Aká je definícia metriky Zisková marža?



Zisková marža (Profit margin) je percento čistého zisku z celkových tržieb.

Profit margin is calculated with the selling price (or revenue) taken as base times 100. It is the percentage of selling price that is turned into profit. Profit percentages are calculated to find the ratio of profit to cost of an investment. Profit margin is an indicator of a company's pricing strategies and how well it controls costs. Differences in competitive strategy and product mix cause the profit margin to vary among different companies. The profit margin is used mostly for internal comparisons. It is difficult to accurately compare the net profit ratio for different entities. Individual businesses' operating and financing arrangements vary so much that different entities are bound to have different levels of expenditure, so that comparison of one with another can have little meaning. A low profit margin indicates a low margin of safety: higher risk that a decline in sales will erase profits and result in a net loss, or a negative margin.

Čomu sa venuje spoločnosť Vivaldi Opportunities Fund?

Vivaldi Opportunities Fund is a closed-end investment management company. It seeks to generate long-term returns with low sensitivity to traditional equity and fixed income indices. The company was founded on March 29, 2017 and is headquartered in Milwaukee, WI.