MXP370711014 (MXP370711014)

$536.6B
Market Cap
9.0
P/E Ratio
0.34
Beta
8.66%
Dividend Yield
Piotroski 6/9Altman Z 0.3 Distress

Quantitative Summary

Deterministic

Financial health is average: Piotroski 6/9, Altman Z 0.3.

Generated deterministically from quant metrics and financial statements. Not a recommendation.

DCF Sandbox

Interactive

Sensitivity Matrix

TG ↓ / WACC →6%7.1%9.1%
2%$1646$1266$881
3%$2150$1543$1005
4%$3157$1998$1178

Center = base case. Green = >10% upside, Red = >10% downside vs .

Pre-computed DCF: WACC=7.1%, terminal growth 3%. Fair value $1543 (+0.0%). Not investment advice.

Price Chart with Moving Averages

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SMA 50 SMA 200

Quant Health Deep Dive

6/9
Piotroski F-Score
Average — mixed operational signals
0.3
Altman Z-Score
Distress Zone — below 1.8 threshold per academic model. Thresholds: >3 safe, 1.8–3 grey, <1.8 distress.

Profitability & Value Creation

23.8%
Net Margin
7.1%
WACC
+12.8%
Revenue Growth (YoY)
+4.6%
Earnings Growth (YoY)
70.3B
Free Cash Flow
68%
FCF Payout Ratio

✅ Conservative payout — room for dividend increases.

Balance Sheet Health

9.30x
Debt / Equity
11.95%
FCF Yield

Earnings Surprise History

Q4
✗ Miss
Est: $5.20
Act: $5.00
-3.9%
Q3
✗ Miss
Est: $5.24
Act: $5.16
-1.6%
Q2
✗ Miss
Est: $5.20
Act: $4.62
-11.1%
Q1
✓ Beat
Est: $5.45
Act: $5.68
+4.4%

EPS estimates vs actuals for the most recent reported quarters. Source: yfinance.

Underwater (Drawdown from Peak)

How far below the all-time high the price has been over time. Deeper = more pain for holders.

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Rolling 60-Day Beta vs S&P 500 (VOO)

How the stock's sensitivity to market moves changes over time. β > 1 = more volatile than the market.

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Rolling Beta Market (β = 1.0)

Fundamentals

8.2
Forward P/E
PEG Ratio
2.15
Price/Book
6M
Avg Volume
$210.00
52W High
$134.61
52W Low
52W Range Position

Passive Flow Attribution

ETF Draft Effect
$199M
Tracked Passive Exposure
5
ETFs Holding MXP370711014
0.15%
Avg Weight in ETFs
$134B
Total ETF AUM

When investors buy or sell ETFs like EMXC or SCHE, the fund manager is mechanically forced to buy or sell MXP370711014 shares regardless of MXP370711014's individual fundamentals. We estimate $199M of passive capital is structurally linked to MXP370711014 through 5 tracked ETFs. Passive flows have a limited but growing influence on MXP370711014's daily trading dynamics.

Passive exposure = Σ (ETF AUM × stock weight in ETF) across 5 tracked ETFs. Actual passive ownership is larger (includes mutual funds). Not investment advice.

ETF Contagion Visualizer

Simulate a price drop in MXP370711014 to visualize passive redemption contagion across ETFs and collateral stocks.

MXP370711014 Shock
-0%
Est. Passive Redemption
$0
Systemic Risk
STABLE
MXP370711014EpicenterIXUSETFACWIETFEEMETFTW0002330008Low RiskTW0002330008Low RiskKR7005930003Low RiskKR7000660001Low RiskNVDALow Risk
MXP370711014 Price Drop (%)0

If MXP370711014 (MXP370711014) experiences a significant drawdown, ETF redemptions can create collateral selling pressure on co-held stocks. Our model identifies Taiwan Semiconductor Manufacturing Co., Ltd. (TW0002330008) as the most exposed collateral stock, sharing 3 ETFs with MXP370711014. This is the "Passive Contagion" effect described in the Inelastic Market Hypothesis.

Contagion model based on shared ETF exposure and constituent weights across 5 tracked ETFs. Estimated selling pressure is a simplified model — actual impact depends on market liquidity, ETF redemption mechanics, and market-maker activity.

MXP370711014 Ownership Dynamics

Ticker
MXP370711014

Float lock-up computed from 5 ETFs tracked by SecuritiesDB. Actual passive ownership is higher (includes mutual funds, pension funds, etc.).

Compare MXP370711014 to Peers

Quant metrics computed deterministically from financial statements and price data. Updated: N/A.

SecuritiesDB provides programmatic data aggregation for informational purposes only. None of the metrics, summaries, or algorithmic flags constitute a recommendation to buy or sell any security.