Secoo holding ltd morningstar fair value pdf

Secoo holding ltd morningstar fair value pdf
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
Aberdeen Frontier Markets Investment Company Limited AFMC 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value calculated using points over gilt methodology.
The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term
VanEck Vectors Morningstar International Moat ETF seeks to track, before fees and expenses, the price and yield performance Name Country Moat Rating Price / Fair Value 1 Tencent Holdings Ltd. China Wide 0.52 2 MGM China Holdings Ltd Hong Kong Narrow 0.53 3 Cameco Corp Canada Narrow 0.57 4 Credit Suisse Group AG Switzerland Narrow 0.66 5 ANTA Sports Products Ltd. China Narrow …
Get SEC filings for Secoo Holding Ltd (SECO), including Annual Report (10k) and Quarterly Report (10Q).
COMGEST GROWTH GREATER CHINA EUR ACC 30.11.2017 NetEase, Inc. Sponsored ADR The Morningstar Analyst Rating™ represents Morningstar analysts’ opinion of a fund’s relative investment merit. It is a forward-looking measure and identifies analyst conviction in a fund’s long- term performance prospects relative to a relevant peer group. The Morningstar Rating™ is an objective
Morningstar Institutional Equity Research: Value Investing in the Technology Sector 4 June 13, 2011 Still, we can also find examples of firms that emerged from the …
CDW Holding Ltd. CDWHF. Quote Price vs. Fair Value Trailing Returns Financials Valuation Operating Performance Dividends Ownership Executive Premium . A Premium subscription unlocks our fair value
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points used by Unit Trust range and SICAV range of funds for fair valuation (where applied) may vary. For details please refer to the respective offering document(s). The AUD/ For details please refer to the respective offering document(s).
Sources: Morningstar and Old Mutual Investment Group (FSP no. 604). Old Mutual Unit Trust Managers (RF) (Pty) Ltd, registration number 1965 008 47107, is a registered manager in terms of the Collective Investment Schemes Control Act 45 of 2002.
Holdings returned -11%, hit by the declining value of the Chinese yuan relative to the U.S. dollar, largely the result of U.S. tariffs, as well as the planned exit of longtime chairman Jack Ma.
netwealth Model Portfolios Quarterly Performance Review March 2016 For Adviser Use Only 5 Morningstar’s Investment Principles The following investment principles drive Morningstar’s investment management framework.
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
Optimized Portfolio Value (IOPV), is a real-time estimate of an ETF’s fair value, based on the most recent prices of its underlying securities. Solactive Indices were created by …
MetLife Stable Value Fund Series 25053 – Class 0.. Benchmark Net Crediting Rate Overall Morningstar Rating™ Morningstar Return Morningstar Risk Money Market-Taxable 2.89% QQQQQ High Low Out of 455 Stable Value investments. An investment’s overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See …
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Under Asahi Group Holdings, Ltd. as a pure holding company, the Asahi Group runs its alcohol beverages, soft drinks, and food businesses—as well as its overseas business in these same
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Tencent Holdings Ltd ADR TCEHY Quote Stock Type Last Close 27/12/2018 Fair Value Estimate Morningstar Rating TM 39.03 $ 64.00 QQQQ Release date 12-27-2018
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a
Morningstar Style Indexes Morningstar Canada Value Index The Morningstar Canada Value Index invests in equity securities of the largest and most liquid Canadian issuers based on proprietary research generated by Morningstar, and is designed to provide diversified exposure to Canadian issuers which are considered to be “good value” based on characteristics like low price to earnings and low
Amazon.com Inc AMZN Quote Stock Type Last Close 25/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 1,343.96 $ 2200.00 QQQQ Release date 12-26-2018
Seeks to track the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. Passively managed, using index sampling. The fund invests substantially all of its assets in the stocks included in the index.
Secoo Holding Limited has a strategic alliance with Parkson Group. The company was founded in 2011 and is headquartered in Beijing, China. The company was …
aggressive. Janus Henderson funds are classified as aggressive if their share prices are expected to have wide fluctuation over time. This can include funds that are entirely invested in stocks and also may have other, higher risk exposures.
Neither Morningstar, Inc. nor Morningstar Australasia Pty Ltd. sponsors, endorses, issues, sells, or promotes ETFS Morningstar Global Technology ETF, and neither Morningstar entity bears any liability with respect to that ETF or any security.
David Harrell is the editor of the Morningstar StockInvestor, a monthly newsletter that focuses on a wide-moat stock investing strategy.
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
SECO Secoo Holding Ltd ADR Stock Quote Price Morningstar
Get company or corporate stock equity shareholder overview data for shares of Shanghai Shenda Co Ltd including Fund Owners Activity, Style, Equity & Debt Ownership, and Enterprise Value.
Anchoring decisions to an investment’s fair value – or what it’s really worth – can lead to greater potential for returns. Valuation-driven investing through a long-term focus on the difference between price and intrinsic value enables investors to get more than they’re paying for.
i) Fair value of derivative contracts and as a percentage of NAV as at 30 June 2018 N/A ii) There was a net realised loss of SGD 531 on derivative contracts during the financial period from
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.

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Sivananth Ramachandran, Manager, New Product Development for Morningstar Indexes talks about the methodology, portfolio composition of Morningstar India Sustainability Index, and the different ways it can be utilized by Indian investors.
Price/Fair Value: ratio of a stock’s trading price to its fair value estimate. Wide moat companies are those that Morningstar’s equity research team believes will …
Get quotes, news, returns, research and ratings, as well as charts, valuations, financial statements, estimates and ownership information on Trustco Group Holdings Ltd.
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past
Conflicts of Interest Manual Morningstar Investment Management South Africa (Pty) Ltd FSP: 45679 This document is intended to comply with the procedures prescribed in Board Notice 58 of 2010 which
Morningstar Equity Research analysts’ ratings, such as Fair Value Estimate, Economic Moat, and Valuation Uncertainty, are important inputs to the portfolio construction
Vmoto Ltd electric powered two-wheel vehicles attracted plenty of attention during INTERMOT Cologne, an international motorcycle, scooter and e-bike fair in Germany.
Russell 2000 Value TR USD Overall Morningstar Rating Top 10 Holdings as of 06-30-18 % Assets Cedar Fair LP 2.90 UniFirst Corp 2.68 Nomad Foods Ltd 2.64 The Hanover Insurance Group Inc 2.57 Prosperity Bancshares Inc 2.31..Equity Commonwealth2.16 Black Hills Corp 2.15 Sun Communities Inc 1.88 Valvoline Inc 1.80 Argo Group International Holdings Ltd 1.78…..Total Number of Stock
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Ve American Century Value Investment Option Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summaryworld history and geography modern times mcgraw hill pdfIn a speech Wednesday at his company’s annual investment conference, Kapoor pointed to a Morningstar calculation of fair value for the U.S. market. Last year, it …
Analyze up to 10 years of full 10K Annual Reports and Quarterly 10Q SEC filings for Secoo Holding Ltd (SECO) using our online tools to quickly find sections, visualize the intrinsic value and financial stability or export to a PDF, Word or Excel file for offline analysis.
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is
惠理大中華高收益債券基金 VALUE PARTNERS GREATER CHINA HIGH YIELD INCOME FUND SEMI-ANNUAL REPORT 2014 For the six months ended 30 June 2014
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Fairfax Financial Holdings Limited is a holding company whose corporate objective is to achieve a high rate of return on invested capital and build long term shareholder value. The company has been under present management since September 1985.
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Alibaba Group Holding Ltd ADR BABA Quote Stock Type Last Close 28/12/2018 Fair Value Estimate Morningstar Rating TM 139.09 $ 240.00 QQQQQ Release date 12-29-2018
Get company or corporate stock equity shareholder selling or sales data for shares of Cedar Fair LP including Fund and Institutional shareholders. Along with Star Rating, share sold, change in shares held, percentage total of shares held, and percentage of total assets.
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Secoo’s top institutional investor still believes in the company’s long-term growth potential.
La Stima del Quantitative Fair Value rappresenta la stima di Morningstar del valore odierno dell’azione di una società, espresso in dollari per azione. La Stima del Quantitative Fair Value si basa su un modello statistico derivato dalla Stima del Fair Value che gli analisti azionari di Morningstar assegnano alla società e include una previsione finanziaria sull’azienda. La Stima del
Morningstar Inc. AODA Compliant PDF RBC Retirement 2035 Portfolio Investment Objective This fund is an asset allocation fund designed to meet the needs of investors who are saving money towards their retirement, which they expect will commence around 2035. The fund invests primarily in equities until 10 years prior to retirement, at which point it gradually shifts its asset mix from an
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Genuine Parts Co GPC Quote Stock Type Last Close 14/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 98.90 $ 103.00 QQQ Release date 12-16-2018
methodology used by a Morningstar equity analyst to value stocks in the first place. The The methodology for our discounted cash flow approach to equity valuation can be found in
ETF Large Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars for the overall, 3 stars for the three-year period and 4 stars for the five-year period.
Secoo Holding Ltd – SECO DCF and Reverse DCF Using Discounted Cash Flow Model
For sales and trail commission information on purchases over million and participant-directed qualified retirement plans, see a Putnam fund prospectus and the statement of additional information. The Russell 2000 Value Index is an unmanaged index of those companies in the small-cap Russell 2000
Alibaba Group Holding Ltd ADR BABAStock – Morningstar analysis of Alibaba Group Holding Ltd ADR BABA stocks, including quotes, news, returns, research and ratings, as well as charts, valuations, financial statements, estimates and ownership information.
Edinburgh Dragon Trust Plc EFM 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value …
Fair Value Estimate. Fair Value Estimate is a proprietary Morningstar data point. It is the Morningstar analyst’s estimate of what the stock is worth.
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narrow moat companies, for at least 10. Moat ratings and fair value estimates are determined through independent research conducted by the Morningstar Equity Research team. About TECH TECH tracks the performance of the Morningstar® Developed Markets Technology Moat Focus IndexSM by holding all of the shares that make up the index, in the proportion closely mirroring the index. Because the
The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.
quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In
When it first ran into problems I increased my holdings because it still looked like a good value to me. I eventually managed to buy several thousand shares at a cost of .50 (I knew that was a

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NASDAQSECO Stock Price News & Analysis for Secoo

[SNIPPET:3:10]
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Seeks to track the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. Passively managed, using index sampling. The fund invests substantially all of its assets in the stocks included in the index.
narrow moat companies, for at least 10. Moat ratings and fair value estimates are determined through independent research conducted by the Morningstar Equity Research team. About TECH TECH tracks the performance of the Morningstar® Developed Markets Technology Moat Focus IndexSM by holding all of the shares that make up the index, in the proportion closely mirroring the index. Because the
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
netwealth Model Portfolios Quarterly Performance Review March 2016 For Adviser Use Only 5 Morningstar’s Investment Principles The following investment principles drive Morningstar’s investment management framework.
Morningstar Style Indexes Morningstar Canada Value Index The Morningstar Canada Value Index invests in equity securities of the largest and most liquid Canadian issuers based on proprietary research generated by Morningstar, and is designed to provide diversified exposure to Canadian issuers which are considered to be “good value” based on characteristics like low price to earnings and low
David Harrell is the editor of the Morningstar StockInvestor, a monthly newsletter that focuses on a wide-moat stock investing strategy.
MetLife Stable Value Fund Series 25053 – Class 0.. Benchmark Net Crediting Rate Overall Morningstar Rating™ Morningstar Return Morningstar Risk Money Market-Taxable 2.89% QQQQQ High Low Out of 455 Stable Value investments. An investment’s overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See …
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Fair Value Estimate. Fair Value Estimate is a proprietary Morningstar data point. It is the Morningstar analyst’s estimate of what the stock is worth.
quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In
Amazon.com Inc AMZN Quote Stock Type Last Close 25/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 1,343.96 $ 2200.00 QQQQ Release date 12-26-2018
Morningstar Institutional Equity Research: Value Investing in the Technology Sector 4 June 13, 2011 Still, we can also find examples of firms that emerged from the …
Morningstar Inc. AODA Compliant PDF RBC Retirement 2035 Portfolio Investment Objective This fund is an asset allocation fund designed to meet the needs of investors who are saving money towards their retirement, which they expect will commence around 2035. The fund invests primarily in equities until 10 years prior to retirement, at which point it gradually shifts its asset mix from an
The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.

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up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Fair Value Estimate. Fair Value Estimate is a proprietary Morningstar data point. It is the Morningstar analyst’s estimate of what the stock is worth.
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Morningstar Style Indexes Morningstar Canada Value Index The Morningstar Canada Value Index invests in equity securities of the largest and most liquid Canadian issuers based on proprietary research generated by Morningstar, and is designed to provide diversified exposure to Canadian issuers which are considered to be “good value” based on characteristics like low price to earnings and low
Conflicts of Interest Manual Morningstar Investment Management South Africa (Pty) Ltd FSP: 45679 This document is intended to comply with the procedures prescribed in Board Notice 58 of 2010 which
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
When it first ran into problems I increased my holdings because it still looked like a good value to me. I eventually managed to buy several thousand shares at a cost of [SNIPPET:4:15].50 (I knew that was a

MetLife Stable Value Fund Series 25053 – Class 0
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Alibaba Group Holding Ltd ADR BABAStock – Morningstar analysis of Alibaba Group Holding Ltd ADR BABA stocks, including quotes, news, returns, research and ratings, as well as charts, valuations, financial statements, estimates and ownership information.
narrow moat companies, for at least 10. Moat ratings and fair value estimates are determined through independent research conducted by the Morningstar Equity Research team. About TECH TECH tracks the performance of the Morningstar® Developed Markets Technology Moat Focus IndexSM by holding all of the shares that make up the index, in the proportion closely mirroring the index. Because the
quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Analyze up to 10 years of full 10K Annual Reports and Quarterly 10Q SEC filings for Secoo Holding Ltd (SECO) using our online tools to quickly find sections, visualize the intrinsic value and financial stability or export to a PDF, Word or Excel file for offline analysis.

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Seeks to track the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. Passively managed, using index sampling. The fund invests substantially all of its assets in the stocks included in the index.
When it first ran into problems I increased my holdings because it still looked like a good value to me. I eventually managed to buy several thousand shares at a cost of [SNIPPET:4:15].50 (I knew that was a
Anchoring decisions to an investment’s fair value – or what it’s really worth – can lead to greater potential for returns. Valuation-driven investing through a long-term focus on the difference between price and intrinsic value enables investors to get more than they’re paying for.
Get company or corporate stock equity shareholder selling or sales data for shares of Cedar Fair LP including Fund and Institutional shareholders. Along with Star Rating, share sold, change in shares held, percentage total of shares held, and percentage of total assets.
Analyze up to 10 years of full 10K Annual Reports and Quarterly 10Q SEC filings for Secoo Holding Ltd (SECO) using our online tools to quickly find sections, visualize the intrinsic value and financial stability or export to a PDF, Word or Excel file for offline analysis.

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Asahi Group Holdings Ltd. http//www .asahigroup-holdings

COMGEST GROWTH GREATER CHINA EUR ACC 30.11.2017 NetEase, Inc. Sponsored ADR The Morningstar Analyst Rating™ represents Morningstar analysts’ opinion of a fund’s relative investment merit. It is a forward-looking measure and identifies analyst conviction in a fund’s long- term performance prospects relative to a relevant peer group. The Morningstar Rating™ is an objective
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Russell 2000 Value TR USD Overall Morningstar Rating Top 10 Holdings as of 06-30-18 % Assets Cedar Fair LP 2.90 UniFirst Corp 2.68 Nomad Foods Ltd 2.64 The Hanover Insurance Group Inc 2.57 Prosperity Bancshares Inc 2.31..Equity Commonwealth2.16 Black Hills Corp 2.15 Sun Communities Inc 1.88 Valvoline Inc 1.80 Argo Group International Holdings Ltd 1.78…..Total Number of Stock
Secoo Holding Limited has a strategic alliance with Parkson Group. The company was founded in 2011 and is headquartered in Beijing, China. The company was …
Edinburgh Dragon Trust Plc EFM 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value …
quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In

Aberdeen Frontier Markets Investment Company Limited AFMC
Quarterly Performance Review March 2016 netwealth

quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Neither Morningstar, Inc. nor Morningstar Australasia Pty Ltd. sponsors, endorses, issues, sells, or promotes ETFS Morningstar Global Technology ETF, and neither Morningstar entity bears any liability with respect to that ETF or any security.
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
Tencent Holdings Ltd ADR TCEHY Quote Stock Type Last Close 27/12/2018 Fair Value Estimate Morningstar Rating TM 39.03 $ 64.00 QQQQ Release date 12-27-2018
Anchoring decisions to an investment’s fair value – or what it’s really worth – can lead to greater potential for returns. Valuation-driven investing through a long-term focus on the difference between price and intrinsic value enables investors to get more than they’re paying for.
Fairfax Financial Holdings Limited is a holding company whose corporate objective is to achieve a high rate of return on invested capital and build long term shareholder value. The company has been under present management since September 1985.
VanEck Vectors Morningstar International Moat ETF seeks to track, before fees and expenses, the price and yield performance Name Country Moat Rating Price / Fair Value 1 Tencent Holdings Ltd. China Wide 0.52 2 MGM China Holdings Ltd Hong Kong Narrow 0.53 3 Cameco Corp Canada Narrow 0.57 4 Credit Suisse Group AG Switzerland Narrow 0.66 5 ANTA Sports Products Ltd. China Narrow …
methodology used by a Morningstar equity analyst to value stocks in the first place. The The methodology for our discounted cash flow approach to equity valuation can be found in
Under Asahi Group Holdings, Ltd. as a pure holding company, the Asahi Group runs its alcohol beverages, soft drinks, and food businesses—as well as its overseas business in these same
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Holdings returned -11%, hit by the declining value of the Chinese yuan relative to the U.S. dollar, largely the result of U.S. tariffs, as well as the planned exit of longtime chairman Jack Ma.
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past

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United Asia Pacific Infrastructure Fund UOB Group.Com

COMGEST GROWTH GREATER CHINA EUR ACC 30.11.2017 NetEase, Inc. Sponsored ADR The Morningstar Analyst Rating™ represents Morningstar analysts’ opinion of a fund’s relative investment merit. It is a forward-looking measure and identifies analyst conviction in a fund’s long- term performance prospects relative to a relevant peer group. The Morningstar Rating™ is an objective
Today; Best Investments; My Portfolio; My Portfolio; Markets; Investments. Stocks; Bonds; Mutual Funds
Optimized Portfolio Value (IOPV), is a real-time estimate of an ETF’s fair value, based on the most recent prices of its underlying securities. Solactive Indices were created by …
Conflicts of Interest Manual Morningstar Investment Management South Africa (Pty) Ltd FSP: 45679 This document is intended to comply with the procedures prescribed in Board Notice 58 of 2010 which
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
Tencent Holdings Ltd ADR TCEHY Quote Stock Type Last Close 27/12/2018 Fair Value Estimate Morningstar Rating TM 39.03 $ 64.00 QQQQ Release date 12-27-2018
惠理大中華高收益債券基金 VALUE PARTNERS GREATER CHINA HIGH YIELD INCOME FUND SEMI-ANNUAL REPORT 2014 For the six months ended 30 June 2014
Fairfax Financial Holdings Limited is a holding company whose corporate objective is to achieve a high rate of return on invested capital and build long term shareholder value. The company has been under present management since September 1985.
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
Morningstar Style Indexes Morningstar Canada Value Index The Morningstar Canada Value Index invests in equity securities of the largest and most liquid Canadian issuers based on proprietary research generated by Morningstar, and is designed to provide diversified exposure to Canadian issuers which are considered to be “good value” based on characteristics like low price to earnings and low
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is
Russell 2000 Value TR USD Overall Morningstar Rating Top 10 Holdings as of 06-30-18 % Assets Cedar Fair LP 2.90 UniFirst Corp 2.68 Nomad Foods Ltd 2.64 The Hanover Insurance Group Inc 2.57 Prosperity Bancshares Inc 2.31..Equity Commonwealth2.16 Black Hills Corp 2.15 Sun Communities Inc 1.88 Valvoline Inc 1.80 Argo Group International Holdings Ltd 1.78…..Total Number of Stock
The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term

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CDW Holding Ltd. CDWHF. Quote Price vs. Fair Value Trailing Returns Financials Valuation Operating Performance Dividends Ownership Executive Premium . A Premium subscription unlocks our fair value
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Russell 2000 Value TR USD Overall Morningstar Rating Top 10 Holdings as of 06-30-18 % Assets Cedar Fair LP 2.90 UniFirst Corp 2.68 Nomad Foods Ltd 2.64 The Hanover Insurance Group Inc 2.57 Prosperity Bancshares Inc 2.31..Equity Commonwealth2.16 Black Hills Corp 2.15 Sun Communities Inc 1.88 Valvoline Inc 1.80 Argo Group International Holdings Ltd 1.78…..Total Number of Stock
Ve American Century Value Investment Option Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
Today; Best Investments; My Portfolio; My Portfolio; Markets; Investments. Stocks; Bonds; Mutual Funds

NASDAQSECO Stock Price News & Analysis for Secoo
Putnam Small Cap Value Fund (PYSVX)

Anchoring decisions to an investment’s fair value – or what it’s really worth – can lead to greater potential for returns. Valuation-driven investing through a long-term focus on the difference between price and intrinsic value enables investors to get more than they’re paying for.
When it first ran into problems I increased my holdings because it still looked like a good value to me. I eventually managed to buy several thousand shares at a cost of [SNIPPET:4:15].50 (I knew that was a
netwealth Model Portfolios Quarterly Performance Review March 2016 For Adviser Use Only 5 Morningstar’s Investment Principles The following investment principles drive Morningstar’s investment management framework.
Secoo Holding Ltd – SECO DCF and Reverse DCF Using Discounted Cash Flow Model
Get company or corporate stock equity shareholder overview data for shares of Shanghai Shenda Co Ltd including Fund Owners Activity, Style, Equity & Debt Ownership, and Enterprise Value.
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
In a speech Wednesday at his company’s annual investment conference, Kapoor pointed to a Morningstar calculation of fair value for the U.S. market. Last year, it …
Optimized Portfolio Value (IOPV), is a real-time estimate of an ETF’s fair value, based on the most recent prices of its underlying securities. Solactive Indices were created by …
aggressive. Janus Henderson funds are classified as aggressive if their share prices are expected to have wide fluctuation over time. This can include funds that are entirely invested in stocks and also may have other, higher risk exposures.
Today; Best Investments; My Portfolio; My Portfolio; Markets; Investments. Stocks; Bonds; Mutual Funds
For sales and trail commission information on purchases over million and participant-directed qualified retirement plans, see a Putnam fund prospectus and the statement of additional information. The Russell 2000 Value Index is an unmanaged index of those companies in the small-cap Russell 2000
The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term
Alibaba Group Holding Ltd ADR BABA Quote Stock Type Last Close 28/12/2018 Fair Value Estimate Morningstar Rating TM 139.09 $ 240.00 QQQQQ Release date 12-29-2018
Neither Morningstar, Inc. nor Morningstar Australasia Pty Ltd. sponsors, endorses, issues, sells, or promotes ETFS Morningstar Global Technology ETF, and neither Morningstar entity bears any liability with respect to that ETF or any security.
Fairfax Financial Holdings Limited is a holding company whose corporate objective is to achieve a high rate of return on invested capital and build long term shareholder value. The company has been under present management since September 1985.

OLD MUTUAL TOP 20 FUND
CDWHF CDW Holding Ltd Stock Quote Price Morningstar

i) Fair value of derivative contracts and as a percentage of NAV as at 30 June 2018 N/A ii) There was a net realised loss of SGD 531 on derivative contracts during the financial period from
ETF Large Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars for the overall, 3 stars for the three-year period and 4 stars for the five-year period.
aggressive. Janus Henderson funds are classified as aggressive if their share prices are expected to have wide fluctuation over time. This can include funds that are entirely invested in stocks and also may have other, higher risk exposures.
La Stima del Quantitative Fair Value rappresenta la stima di Morningstar del valore odierno dell’azione di una società, espresso in dollari per azione. La Stima del Quantitative Fair Value si basa su un modello statistico derivato dalla Stima del Fair Value che gli analisti azionari di Morningstar assegnano alla società e include una previsione finanziaria sull’azienda. La Stima del
netwealth Model Portfolios Quarterly Performance Review March 2016 For Adviser Use Only 5 Morningstar’s Investment Principles The following investment principles drive Morningstar’s investment management framework.
Edinburgh Dragon Trust Plc EFM 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value …
methodology used by a Morningstar equity analyst to value stocks in the first place. The The methodology for our discounted cash flow approach to equity valuation can be found in
Under Asahi Group Holdings, Ltd. as a pure holding company, the Asahi Group runs its alcohol beverages, soft drinks, and food businesses—as well as its overseas business in these same
Get company or corporate stock equity shareholder overview data for shares of Shanghai Shenda Co Ltd including Fund Owners Activity, Style, Equity & Debt Ownership, and Enterprise Value.
The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term
Vmoto Ltd electric powered two-wheel vehicles attracted plenty of attention during INTERMOT Cologne, an international motorcycle, scooter and e-bike fair in Germany.
Ve American Century Value Investment Option Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past

Secoo Holding Ltd SECO DCF and Reverse DCF Model
Vanguard Product overview – Emerging Mkts Stk Ix Inst

Secoo Holding Limited has a strategic alliance with Parkson Group. The company was founded in 2011 and is headquartered in Beijing, China. The company was …
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a
Secoo’s top institutional investor still believes in the company’s long-term growth potential.
Under Asahi Group Holdings, Ltd. as a pure holding company, the Asahi Group runs its alcohol beverages, soft drinks, and food businesses—as well as its overseas business in these same
Fair Value Estimate. Fair Value Estimate is a proprietary Morningstar data point. It is the Morningstar analyst’s estimate of what the stock is worth.
Prezzo di Mirae Asset Global Discovery Fund – Asia Sector Leader Equity Fund A EUR Capitalization, Rating e Analisi Morningstar, performance a breve e lungo ter…
Secoo Holding Ltd – SECO DCF and Reverse DCF Using Discounted Cash Flow Model

Tencent Holdings Ltd ADR TCEHY Morningstar
Shareholders Major FUN Cedar Fair LP including Fund and

Get SEC filings for Secoo Holding Ltd (SECO), including Annual Report (10k) and Quarterly Report (10Q).
Conflicts of Interest Manual Morningstar Investment Management South Africa (Pty) Ltd FSP: 45679 This document is intended to comply with the procedures prescribed in Board Notice 58 of 2010 which
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is
Alibaba Group Holding Ltd ADR BABA Quote Stock Type Last Close 28/12/2018 Fair Value Estimate Morningstar Rating TM 139.09 $ 240.00 QQQQQ Release date 12-29-2018
Morningstar Equity Research analysts’ ratings, such as Fair Value Estimate, Economic Moat, and Valuation Uncertainty, are important inputs to the portfolio construction
Anchoring decisions to an investment’s fair value – or what it’s really worth – can lead to greater potential for returns. Valuation-driven investing through a long-term focus on the difference between price and intrinsic value enables investors to get more than they’re paying for.
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a

Tencent Holdings Ltd ADR TCEHY Morningstar
Putnam Small Cap Value Fund (PYSVX)

David Harrell is the editor of the Morningstar StockInvestor, a monthly newsletter that focuses on a wide-moat stock investing strategy.
Alibaba Group Holding Ltd ADR BABA Quote Stock Type Last Close 28/12/2018 Fair Value Estimate Morningstar Rating TM 139.09 $ 240.00 QQQQQ Release date 12-29-2018
Get SEC filings for Secoo Holding Ltd (SECO), including Annual Report (10k) and Quarterly Report (10Q).
COMGEST GROWTH GREATER CHINA EUR ACC 30.11.2017 NetEase, Inc. Sponsored ADR The Morningstar Analyst Rating™ represents Morningstar analysts’ opinion of a fund’s relative investment merit. It is a forward-looking measure and identifies analyst conviction in a fund’s long- term performance prospects relative to a relevant peer group. The Morningstar Rating™ is an objective
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
Get company or corporate stock equity shareholder selling or sales data for shares of Cedar Fair LP including Fund and Institutional shareholders. Along with Star Rating, share sold, change in shares held, percentage total of shares held, and percentage of total assets.
CDW Holding Ltd. CDWHF. Quote Price vs. Fair Value Trailing Returns Financials Valuation Operating Performance Dividends Ownership Executive Premium . A Premium subscription unlocks our fair value
Morningstar Inc. AODA Compliant PDF RBC Retirement 2035 Portfolio Investment Objective This fund is an asset allocation fund designed to meet the needs of investors who are saving money towards their retirement, which they expect will commence around 2035. The fund invests primarily in equities until 10 years prior to retirement, at which point it gradually shifts its asset mix from an

MOTI VanEck Vectors Morningstar International Moat ETF
Morningstar This Large Biotech Could Be The World’s Best

Aberdeen Frontier Markets Investment Company Limited AFMC 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value calculated using points over gilt methodology.
Sources: Morningstar and Old Mutual Investment Group (FSP no. 604). Old Mutual Unit Trust Managers (RF) (Pty) Ltd, registration number 1965 008 47107, is a registered manager in terms of the Collective Investment Schemes Control Act 45 of 2002.
Under Asahi Group Holdings, Ltd. as a pure holding company, the Asahi Group runs its alcohol beverages, soft drinks, and food businesses—as well as its overseas business in these same
i) Fair value of derivative contracts and as a percentage of NAV as at 30 June 2018 N/A ii) There was a net realised loss of SGD 531 on derivative contracts during the financial period from
Ve American Century Value Investment Option Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary
Amazon.com Inc AMZN Quote Stock Type Last Close 25/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 1,343.96 $ 2200.00 QQQQ Release date 12-26-2018
Price/Fair Value: ratio of a stock’s trading price to its fair value estimate. Wide moat companies are those that Morningstar’s equity research team believes will …
Morningstar Equity Research analysts’ ratings, such as Fair Value Estimate, Economic Moat, and Valuation Uncertainty, are important inputs to the portfolio construction
methodology used by a Morningstar equity analyst to value stocks in the first place. The The methodology for our discounted cash flow approach to equity valuation can be found in
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Prezzo di Mirae Asset Global Discovery Fund – Asia Sector Leader Equity Fund A EUR Capitalization, Rating e Analisi Morningstar, performance a breve e lungo ter…
quantitative fair value estimates for stocks. See Appendix A for a description of a random forest model. Of course, this quantitative model is meaningless to an investor that does not understand the methodology used by a Morningstar equity analyst to value stocks in the first place. The methodology for our discounted cash flow approach to equity valuation can be found in Appendix B. In
Get company or corporate stock equity shareholder selling or sales data for shares of Cedar Fair LP including Fund and Institutional shareholders. Along with Star Rating, share sold, change in shares held, percentage total of shares held, and percentage of total assets.
The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.

Mirae Asset Global Discovery Fund Asia Sector L
AusCann Group Holdings Ltd AC8 Morningstar.com.au

i) Fair value of derivative contracts and as a percentage of NAV as at 30 June 2018 N/A ii) There was a net realised loss of SGD 531 on derivative contracts during the financial period from
Ve American Century Value Investment Option Investors should carefully consider investment objectives, risks, charges and expenses. This and other important information is contained in the fund prospectus and summary
Aberdeen Frontier Markets Investment Company Limited AFMC 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value calculated using points over gilt methodology.
Seeks to track the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. Passively managed, using index sampling. The fund invests substantially all of its assets in the stocks included in the index.
The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term
narrow moat companies, for at least 10. Moat ratings and fair value estimates are determined through independent research conducted by the Morningstar Equity Research team. About TECH TECH tracks the performance of the Morningstar® Developed Markets Technology Moat Focus IndexSM by holding all of the shares that make up the index, in the proportion closely mirroring the index. Because the
Genuine Parts Co GPC Quote Stock Type Last Close 14/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 98.90 $ 103.00 QQQ Release date 12-16-2018
Conflicts of Interest Manual Morningstar Investment Management South Africa (Pty) Ltd FSP: 45679 This document is intended to comply with the procedures prescribed in Board Notice 58 of 2010 which
Morningstar Inc. AODA Compliant PDF PH&N LifeTime 2020 Fund Investment Objective The fundamental investment objective of the Fund is to achieve a balance of income and long-term capital growth relative to its target retirement date of 2020 by investing primarily in investment funds that invest in equity, fixed income, income trust and money market securities and exchange traded funds (“ETFs
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past
The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.
Portfolio Holdings Portfolio Date: 2/29/2016 Ticker Sector Market Cap (mil) (Daily) Portfolio Weighting % Price/Fair Value Fair Value Uncertainty Economic Moat
VanEck Vectors Morningstar International Moat ETF seeks to track, before fees and expenses, the price and yield performance Name Country Moat Rating Price / Fair Value 1 Tencent Holdings Ltd. China Wide 0.52 2 MGM China Holdings Ltd Hong Kong Narrow 0.53 3 Cameco Corp Canada Narrow 0.57 4 Credit Suisse Group AG Switzerland Narrow 0.66 5 ANTA Sports Products Ltd. China Narrow …
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is

Amazon.com Inc AMZN Morningstar
VinaLand’s Investment Manager Increases Holding To

The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.
Genuine Parts Co GPC Quote Stock Type Last Close 14/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 98.90 $ 103.00 QQQ Release date 12-16-2018
Vmoto Ltd electric powered two-wheel vehicles attracted plenty of attention during INTERMOT Cologne, an international motorcycle, scooter and e-bike fair in Germany.
Get SEC filings for Secoo Holding Ltd (SECO), including Annual Report (10k) and Quarterly Report (10Q).
VanEck Vectors Morningstar International Moat ETF seeks to track, before fees and expenses, the price and yield performance Name Country Moat Rating Price / Fair Value 1 Tencent Holdings Ltd. China Wide 0.52 2 MGM China Holdings Ltd Hong Kong Narrow 0.53 3 Cameco Corp Canada Narrow 0.57 4 Credit Suisse Group AG Switzerland Narrow 0.66 5 ANTA Sports Products Ltd. China Narrow …
Aberdeen Frontier Markets Investment Company Limited AFMC 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value calculated using points over gilt methodology.
Edinburgh Dragon Trust Plc EFM 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value …
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a
points used by Unit Trust range and SICAV range of funds for fair valuation (where applied) may vary. For details please refer to the respective offering document(s). The AUD/ For details please refer to the respective offering document(s).
Seeks to track the performance of the FTSE Emerging Markets All Cap China A Inclusion Index. Passively managed, using index sampling. The fund invests substantially all of its assets in the stocks included in the index.

Amazon.com Inc AMZN Morningstar
Finding Value in Tech Morningstar Inc.

Genuine Parts Co GPC Quote Stock Type Last Close 14/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 98.90 $ 103.00 QQQ Release date 12-16-2018
Secoo’s top institutional investor still believes in the company’s long-term growth potential.
Morningstar Style Indexes Morningstar Canada Value Index The Morningstar Canada Value Index invests in equity securities of the largest and most liquid Canadian issuers based on proprietary research generated by Morningstar, and is designed to provide diversified exposure to Canadian issuers which are considered to be “good value” based on characteristics like low price to earnings and low
VanEck Vectors Morningstar International Moat ETF seeks to track, before fees and expenses, the price and yield performance Name Country Moat Rating Price / Fair Value 1 Tencent Holdings Ltd. China Wide 0.52 2 MGM China Holdings Ltd Hong Kong Narrow 0.53 3 Cameco Corp Canada Narrow 0.57 4 Credit Suisse Group AG Switzerland Narrow 0.66 5 ANTA Sports Products Ltd. China Narrow …
Quantitative Fair Value Estimate represents Morningstar’s estimate of the per share dollar amount that a company’s equity is worth today. The Quantitative Fair Value Estimate is based on a statistical model derived from the Fair Value Estimate Morningstar’s equity analysts assign to companies which includes a financial forecast of the company. The Quantitative Fair Value Estimate is
Guangdong Investment Ltd GGDVF Guangdong Investment Ltd is a Hong Kong-based investment holding company. The company has interests in multiple lines of businesses such as Water Resources, Property Development, Departmental Stores, Electric Power Generation, Infrastructure and Hotel Management. The Water Resources segment accounts for most of the group’s revenues. Guangdong …
CDW Holding Ltd. CDWHF. Quote Price vs. Fair Value Trailing Returns Financials Valuation Operating Performance Dividends Ownership Executive Premium . A Premium subscription unlocks our fair value
Secoo Holding Ltd – SECO DCF and Reverse DCF Using Discounted Cash Flow Model
Russell 2000 Value TR USD Overall Morningstar Rating Top 10 Holdings as of 06-30-18 % Assets Cedar Fair LP 2.90 UniFirst Corp 2.68 Nomad Foods Ltd 2.64 The Hanover Insurance Group Inc 2.57 Prosperity Bancshares Inc 2.31..Equity Commonwealth2.16 Black Hills Corp 2.15 Sun Communities Inc 1.88 Valvoline Inc 1.80 Argo Group International Holdings Ltd 1.78…..Total Number of Stock
Edinburgh Dragon Trust Plc EFM 1 NAV Estimation – Fair value of debt refers to the market price of the debt if it is traded or, if it is not traded, an estimation of its value …
The assets are split between growth and value styles to diversify risk. This Fund uses Fair Value Pricing when pricing the securities in the Fund. Fair Value Pricing is the process of assigning estimates for later valuation of securities traded in foreign markets after those foreign markets have closed.
Get company or corporate stock equity shareholder selling or sales data for shares of Cedar Fair LP including Fund and Institutional shareholders. Along with Star Rating, share sold, change in shares held, percentage total of shares held, and percentage of total assets.
ETF Large Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars for the overall, 3 stars for the three-year period and 4 stars for the five-year period.
David Harrell is the editor of the Morningstar StockInvestor, a monthly newsletter that focuses on a wide-moat stock investing strategy.

SAXO MORNINGSTAR MOAT PORTFOLIO Saxo Bank
Secoo Holding Ltd ADR Morningstar Inc.

The Saxo Morningstar MOAT ® Portfolio, managed by Saxo Bank in collaboration with Morningstar Investment Management Europe Ltd, offers a powerful investing opportunity in deep-value stocks which have shown a robust competitive advantage for investors over a medium to long-term
Sources: Morningstar and Old Mutual Investment Group (FSP no. 604). Old Mutual Unit Trust Managers (RF) (Pty) Ltd, registration number 1965 008 47107, is a registered manager in terms of the Collective Investment Schemes Control Act 45 of 2002.
Fair Value Estimate. Fair Value Estimate is a proprietary Morningstar data point. It is the Morningstar analyst’s estimate of what the stock is worth.
Genuine Parts Co GPC Quote Stock Type Last Close 14/12/2018 Fair Value Estimate Morningstar Rating TM Cyclical 98.90 $ 103.00 QQQ Release date 12-16-2018
Prezzo di Mirae Asset Global Discovery Fund – Asia Sector Leader Equity Fund A EUR Capitalization, Rating e Analisi Morningstar, performance a breve e lungo ter…
competitive advantages selling at steep discounts to their value. At Morningstar, we have an index called the Morningstar Wide Moat Focus. This index is comprised of the cheapest wide-moat firms in our 2,000-plus stock coverage universe. These are the firms with the strongest competitive advantages in their industries and the ones where we believe the advantages will persist for years to come
Holdings returned -11%, hit by the declining value of the Chinese yuan relative to the U.S. dollar, largely the result of U.S. tariffs, as well as the planned exit of longtime chairman Jack Ma.

Small Cap Value Fund Janus Henderson Investors
Fair Value Estimate Morningstar Inc.

Sources: Morningstar and Old Mutual Investment Group (FSP no. 604). Old Mutual Unit Trust Managers (RF) (Pty) Ltd, registration number 1965 008 47107, is a registered manager in terms of the Collective Investment Schemes Control Act 45 of 2002.
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
惠理大中華高收益債券基金 VALUE PARTNERS GREATER CHINA HIGH YIELD INCOME FUND SEMI-ANNUAL REPORT 2014 For the six months ended 30 June 2014
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past
MetLife Stable Value Fund Series 25053 – Class 0.. Benchmark Net Crediting Rate Overall Morningstar Rating™ Morningstar Return Morningstar Risk Money Market-Taxable 2.89% QQQQQ High Low Out of 455 Stable Value investments. An investment’s overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See …

Our Investment Principles Morningstar Investment Management
Vmoto Ltd showcases Super Soco e-scooters at major German

Sivananth Ramachandran, Manager, New Product Development for Morningstar Indexes talks about the methodology, portfolio composition of Morningstar India Sustainability Index, and the different ways it can be utilized by Indian investors.
Secoo Holding Ltd (SECO) stock quote, charts, historical data, financials. Secoo Holding Ltd operates Online-Offline shopping platform in China. It operates as an online retailer in China, with website secoo.com, mobile APP and SECOO experience centers.
Secoo Holding Limited has a strategic alliance with Parkson Group. The company was founded in 2011 and is headquartered in Beijing, China. The company was …
Value funds, ALPS Sector Dividend Dogs ETF received a Morningstar Rating™ of 4 stars, 4 stars for the three-year period and 4 stars for the five-year period. Past
Fairfax Financial Holdings Limited is a holding company whose corporate objective is to achieve a high rate of return on invested capital and build long term shareholder value. The company has been under present management since September 1985.
David Harrell is the editor of the Morningstar StockInvestor, a monthly newsletter that focuses on a wide-moat stock investing strategy.
aggressive. Janus Henderson funds are classified as aggressive if their share prices are expected to have wide fluctuation over time. This can include funds that are entirely invested in stocks and also may have other, higher risk exposures.
Neither Morningstar, Inc. nor Morningstar Australasia Pty Ltd. sponsors, endorses, issues, sells, or promotes ETFS Morningstar Global Technology ETF, and neither Morningstar entity bears any liability with respect to that ETF or any security.
netwealth Model Portfolios Quarterly Performance Review March 2016 For Adviser Use Only 5 Morningstar’s Investment Principles The following investment principles drive Morningstar’s investment management framework.
Alibaba Group Holding Ltd ADR BABAStock – Morningstar analysis of Alibaba Group Holding Ltd ADR BABA stocks, including quotes, news, returns, research and ratings, as well as charts, valuations, financial statements, estimates and ownership information.
Optimized Portfolio Value (IOPV), is a real-time estimate of an ETF’s fair value, based on the most recent prices of its underlying securities. Solactive Indices were created by …
up or effectively made up out of income, realised and unrealised capital gains or capital, may result in an immediate reduction of the net asset value per share. • Investors may be subject to substantial losses.
Get quotes, news, returns, research and ratings, as well as charts, valuations, financial statements, estimates and ownership information on Trustco Group Holdings Ltd.
MetLife Stable Value Fund Series 25053 – Class 0.. Benchmark Net Crediting Rate Overall Morningstar Rating™ Morningstar Return Morningstar Risk Money Market-Taxable 2.89% QQQQQ High Low Out of 455 Stable Value investments. An investment’s overall Morningstar Rating, based on its risk-adjusted return, is a weighted average of its applicable 3-, 5-, and 10-year Ratings. See …
COMGEST GROWTH GREATER CHINA EUR ACC 30.11.2017 NetEase, Inc. Sponsored ADR The Morningstar Analyst Rating™ represents Morningstar analysts’ opinion of a fund’s relative investment merit. It is a forward-looking measure and identifies analyst conviction in a fund’s long- term performance prospects relative to a relevant peer group. The Morningstar Rating™ is an objective