Vanguard 20+ Year Euro Treasury Index Fund Institutional Plus EUR Acc (0P00015M0M.F) FSX

67.42

+0.1273(+0.19%)

Updated at November 06 10:00PM

Currency In EUR

Valuation

Market Cap9.09B
Enterprise Value9.09B
P/E Ratio-1,804.31
PEG Ratio-18.04
Price/Sales Ratio9.03
Price/Book Ratio125.31
Enterprise/Revenue8.97
Enterprise/EBITDA-151.35

Fiscal Year

Fiscal YearNovember 30, 2022
Most Recent QuarterMay 31, 2023

Profitability

Profit Margin-0.06
Operating Margin-0.09

Management Effectiveness

Return On Assets-0.04
Return On Equity-0.07

Income Statement

Revenue65.71M
Revenue/Share0.51
Gross Profit49.8M
EBITDA-3.89M
Net Income-4.19M
Diluted EPS-0.03

Balance Sheet

Total Cash2.67M
Total Cash/Share0.04
Total Debt1.34M
Total Debt/Equity0.02
Current Ratio0.67
Book Value Per Share0.47

Price History

52-Week Change-9.75
52-Week High78.45
52-Week Low64.81
Moving Average 50 Days66.98
Moving Average 200 Days68.91

Statistics

Average Volume0
Shares Outstanding10.01M
% Held by InstitutionsN/A

Dividend And Splits

Trailing Annual Dividend Rate0
Trailing Annual Dividend Yield0
Payout Ratio0
Last Split FactorN/A
Last Split DateN/A