ASIA VS V Stock Comparison
Performance
ASIA10/100
10/100
ASIA returned -0.24% in the last 12 months. Based on SPY's performance of 13.09%, its performance is below average giving it a score of 10 of 100.
V100/100
100/100
V returned 9.74% in the last 12 months. Based on SPY's performance of 2.69%, its performance is above average giving it a score of 100 of 100.
Volatility
ASIA75/100
75/100
ASIA has had a higher than average amount of volatility over the last 12 months giving it a score of 75 of 100.
V42/100
42/100
V has had a lower than average amount of volatility over the last 12 months giving it a score of 42 of 100.
Analyst Price Targets
ASIA
"Analyst Price Targets" not found for ASIA
V81/100
81/100
39 analysts offer 12-month price targets for V. Together, they have an average target of 265.3, the most optimistic target put V at 310 within 12-months and the most pessimistic has V at 204.
Sentiment
ASIA
"Sentiment" not found for ASIA
V74/100
74/100
V had a bullish sentiment score of 73.72% across Twitter and StockTwits over the last 12 months. It had an average of 254.73 posts, 53,902.72 comments, and 142,206.02 likes per day.
Technicals
ASIA
"Technicals" not found for ASIA
V10/100
10/100
V receives a 10 of 100 based on 14 indicators. 0 are bullish, 12 are bearish.
Earnings
ASIA
"Earnings" not found for ASIA
V100/100
100/100
V has missed earnings 0 times in the last 20 quarters.
Profit
ASIA
"Profit" not found for ASIA
V78/100
78/100
Out of the last 20 quarters, V has had 20 profitable quarters and has increased their profits year over year on 11 of them.
Dividend
ASIA
"Dividend" not found for ASIA
V34/100
34/100
V's most recent dividend was $0.22 per share, based on a share price of $229.27. It was a payout ratio of 16.98% compared to their total earnings.
All score calculations are broken down here to help you make more informed investing decisions
Matthews Pacific Tiger Active ETF Summary
Financial Services
Asset Management
ASIA aims to invest in common and preferred stocks of Asian companies capable of sustainable growth. It taps into the Asia Pacific ex-Japan markets, covering developed, emerging, and frontier markets. The portfolio typically consists of mid- or large-cap companies, though it may consider companies of varying sizes based on book value, revenues, profits, cash flow, dividends, and employee count. The fund manager places a strong emphasis on fundamentals, selecting companies with strong balance sheets, cash flow stability, adaptability, integrity, product lines, marketing strategies, corporate governance, financial health, and effective management. ESG characteristics are also taken into consideration in the investment process. However, not all investments may exhibit strong ESG characteristics, and there could be instances when a company's ESG profile cannot be evaluated. The fund may also invest in depositary receipts, such as American, European, and Global Depositary Receipts.
VISA Inc. Summary
New York Stock Exchange / V
Financial Services
Financial - Credit Services
Visa Inc. operates as a payments technology company worldwide. The company facilitates digital payments among consumers, merchants, financial institutions, businesses, strategic partners, and government entities. It operates VisaNet, a transaction processing network that enables authorization, clearing, and settlement of payment transactions. In addition, the company offers card products, platforms, and value-added services. It provides its services under the Visa, Visa Electron, Interlink, VPAY, and PLUS brands. Visa Inc. has a strategic agreement with Ooredoo to provide an enhanced payment experience for Visa cardholders and Ooredoo customers in Qatar. Visa Inc. was founded in 1958 and is headquartered in San Francisco, California.
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