MFEM VS SVVC Stock Comparison
Performance
MFEM10/100
10/100
MFEM returned 3.10% 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.
SVVC10/100
10/100
SVVC returned -80.91% in the last 12 months. Based on SPY's performance of 3.48%, its performance is below average giving it a score of 10 of 100.
Technicals
MFEM89/100
89/100
MFEM receives a 89 of 100 based on 14 indicators. 12 are bullish, 1 are bearish.
SVVC29/100
29/100
SVVC receives a 28 of 100 based on 14 indicators. 3 are bullish, 9 are bearish.
Volatility
MFEM46/100
46/100
MFEM has had a lower than average amount of volatility over the last 12 months giving it a score of 45 of 100.
SVVC40/100
40/100
SVVC has had a lower than average amount of volatility over the last 12 months giving it a score of 40 of 100.
Analyst Price Targets
MFEM
"Analyst Price Targets" not found for MFEM
SVVC100/100
100/100
1 analysts offer 12-month price targets for SVVC. Together, they have an average target of 0, the most optimistic target put SVVC at 0 within 12-months and the most pessimistic has SVVC at 0.
Profit
MFEM
"Profit" not found for MFEM
SVVC19/100
19/100
Out of the last 20 quarters, SVVC has had 4 profitable quarters and has increased their profits year over year on 3 of them.
All score calculations are broken down here to help you make more informed investing decisions
PIMCO RAFI Dynamic Multi-Factor Emerging Markets Equity ETF Summary
Financial Services
Asset Management
The fund seeks to achieve its investment objective by investing at least 80% of its total assets (exclusive of collateral held from securities lending) in the component securities of the RAFI Dynamic Multi-Factor Emerging Markets Index. The underlying index is constructed by RAFI Indices, LLC using a rules-based approach to construct factor portfolios within the underlying index. The underlying index consists of "factor portfolios," each of which emphasizes one of the following factors: value, low volatility, quality and momentum.
Firsthand Technology Value Fund, Inc. Common Stock Summary
Nasdaq / SVVC
Financial Services
Asset Management
Firsthand Technology Value Fund, Inc. is a business development company specializes in venture capital investments in start-up, early stage, middle stage, late stage, early development stage, and PIPEs. It seeks to invest in pre-IPO companies. The fund also seeks to make investments in companies with operating histories that are unprofitable or marginally profitable, that have negative net worth, or that are involved in bankruptcy or reorganization proceedings. In addition, it also makes investments in connection with the acquisition or divestiture of companies or divisions of companies. The fund seeks to invest through direct investments in private companies, negotiations with selling shareholders, and in organized secondary marketplaces for private securities. It may also invest in micro-cap publicly traded companies and also make investments in securities of public companies. The fund seeks to invest in private technology, information technology, cleantech sector, and companies that possess patents and other defensible intellectual property rights with a focus on Internet, consumer electronics, computer hardware, computer software, social networking, computer peripherals, solar photovoltaic, energy efficiency, solid-state lighting, water purification, wind-generated electricity, fuel cells, bio-fuels, electronic components, semiconductors, telecommunications, and advanced materials. Cleantech companies include those engaged in the sale of goods and services designed to harness renewable energy and materials, eliminate emissions and waste, and reduce the use of natural resources. It invests primarily in equity securities of private companies in the United States. However the fund also invests in securities of public companies located outside of the United States. It seeks to invest between $1 million and $10 million each in its investee companies. The fund structures its equity investments as preferred stock, common stock, warrants, limited partnership interests, options, other beneficial ownership interests, convertible debt, short term debt investments, high-yield bonds, and distressed debt. It prefers to control, be represented on, or have observer rights on the board of directors of a portfolio company. The fund seeks to exit its investments through strategic acquisition by other industry participants, initial public offering of common stock, or other capital market transaction.
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