M Evo Global Acquisition Corp II logo

M Evo Global Acquisition Corp II (MEVO)

Market Open
12 Jun, 13:31
NASDAQ (NMS) NASDAQ (NMS)
$
9. 95
+0
+0.0503%
$
55.05M Market Cap
- P/E Ratio
- Div Yield
1,798 Volume
- Eps
$ 9.95
Previous Close
Investors:
Add Transaction
Day Range
9.95 9.95
Year Range
9.83 9.95
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Summary

MEVO trading today higher at $9.95, an increase of 0.0503% from yesterday's close, completing a monthly increase of 0% or $0. Over the past 12 months, MEVO stock gained 0.7085%.
MEVO is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

MEVO Chart

M Evo Global Acquisition Corp II Investors

Name Quantity Cost Value Profit ($) Gain (%)
OC
Olivia Cooper Decagon Asset Management LLP
898,398 $8.85M $8.94M $89,840.07 1.02%

M Evo Global Acquisition Corp II (MEVO) FAQ

What is the stock price today?

The current price is $9.95.

On which exchange is it traded?

M Evo Global Acquisition Corp II is listed on NASDAQ (NMS).

What is its stock symbol?

The ticker symbol is MEVO.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, the market cap is 55.05M.

Has M Evo Global Acquisition Corp II ever had a stock split?

No, there has never been a stock split.

M Evo Global Acquisition Corp II Profile

Capital Markets Industry
Financials Sector
Troy Carter Patton CEO
NASDAQ (NMS) Exchange
G6071J102 CUSIP
US Country
3 Employees
- Last Dividend
- Last Split
- IPO Date

Overview

ARWG is dedicated to outperforming the US equity market by focusing its investments primarily on US-based companies that demonstrate robust fundamentals along with above-average growth potential, particularly in terms of earnings growth. The strategy for stock selection emphasizes companies that are experiencing upward revisions in earnings projections and are forecasted to exhibit strong earnings growth rates. The investment process encompasses a blend of quantitative analyses, such as tracking momentum and examining earnings trends, alongside qualitative evaluations related to the companies' industry standing and competitive advantages. The fund typically maintains a portfolio consisting of 20 to 120 stock positions, strategically adjusting holdings to adapt to market conditions.

In addition to the core strategy, ARWG remains open to seizing special investment opportunities in unique situations, which may include corporate restructurings, the launch of innovative products, breakthrough technologies, or management shifts that could significantly enhance a company's value. When a position no longer meets the investment criteria, it is sold to maintain the portfolio's overall performance. To ensure an optimal investment strategy, the portfolio undergoes rebalancing on a monthly basis.

Products and Services

  • Fund Management

    ARWG specializes in managing investment funds that aim to achieve superior returns compared to the broader US equity market. The fund managers utilize a disciplined investment process that combines quantitative metrics and qualitative insights to carefully select stocks that exhibit strong fundamentals and promising growth trajectories.

  • Quantitative Analysis

    This service focuses on employing various quantitative techniques to identify stocks with favorable momentum and positive earnings trends. By analyzing data points such as historical performance and market conditions, ARWG pinpoints potential investments that can yield significant returns.

  • Qualitative Assessment

    In addition to quantitative measures, ARWG conducts comprehensive qualitative assessments of prospective companies. This involves evaluating industry positioning, competitive advantages, and overall market dynamics to make informed investment decisions and to foresee potential developments that could enhance a company’s performance.

  • Special Situations Investments

    ARWG actively seeks out special situations that could lead to a substantial increase in company valuation. This includes investing in companies undergoing restructuring, introducing new products, achieving technological breakthroughs, or experiencing notable management changes, where specific catalysts may unlock shareholder value.

  • Portfolio Management and Rebalancing

    The management of the fund is characterized by a proactive approach to portfolio adjustment. Positions are regularly reassessed and rebalanced monthly to optimize performance and respond to market changes. This ensures that the portfolio consistently aligns with the fund's strategic objectives and investment philosophy.

Contact Information

Address: 11711 North College Avenue
Phone: 317 581 5664