TCW Relative Value Mid Cap Fund Class N
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About the company
Typically, this fund commits a minimum of 80% of its net assets, along with any borrowed capital utilized for investment, to equity securities issued by mid-capitalization companies. Its investment approach largely concentrates on businesses the portfolio manager identifies as "value companies." The manager's objective is to pinpoint enterprises that have currently lost favor in the market and whose stock is trading at a discount to their estimated intrinsic worth.
- IPO
- 2000
- HQ
- Los Angeles, CA, US
Price Chart
- Market Cap
- $101.31M
- P/E
- -34.62
- P/S
- 0.41
- P/B
- 0.00
- EV/EBITDA
- 21.19
- Div Yield
- 18.97%
- Gross Margin
- 56.62%
- Op Margin
- -1.65%
- Net Margin
- -13.60%
- ROE
- -27.13%
- ROIC
- -1.01%
- Revenue
- $249.46M · 13.82%
- Net Income
- $-33,922,000 · -18.46%
- EPS
- $-0.89 · -14.10%
- Op Income
- $-4,117,000
- FCF YoY
- -4.71%
- 52W High
- $32.17
- 52W Low
- $25.73
- 50D MA
- $30.24
- 200D MA
- $29.31
- Beta
- 1.04
- Avg Volume
- 0
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