_id
690db456ccc777a4e85d0d46
Ticker
AZ
Name
A2Z Smart Technologies Corp
Exchange
NASDAQ
Address
609 Granville Street, Vancouver, BC, Canada, V7Y 1C3
Country
USA
Sector
Technology
Industry
Software - Application
Currency
USD
Website
https://cust2mate.com
Description
A2Z Cust2Mate Solutions Corp., a technology company, focuses on the development and commercialization of retail smart cart solutions for grocery stores and supermarkets in Israel and internationally. The company operates through three segments: Precision Metal Parts, Advanced Engineering, and Smart Carts. It offers Cust2Mate system, which incorporates a smart cart that automatically calculates the value of the customers purchases in their smart cart without having to unload and reload their purchases at a customer checkout point. The company also manufactures and sells precision metal parts; provides retail automation solutions; and develops Fuel Tank Inertia Capsule System technology (FTICS), a vehicle device cover for the military and civilian automotive industry. In addition, it provides maintenance services utilizing the application of advanced engineering capabilities to the military and security markets, as well as develops related products for the civilian and retail markets; container leasing services; and maintenance services for complex electronic systems and products. It serves its products to grocery stores, hardware stores, household essentials, do it yourself (DIY) retailers, discount stores, warehouse stores, convenience stores, drug stores, duty free shops, and similar outlets. A2Z Cust2Mate Solutions Corp. was formerly known as A2Z Smart Technologies Corp. and changed its name to A2Z Cust2Mate Solutions Corp. in August 2024. The company is headquartered in Vancouver, Canada.
Last Close
6.01
Volume
843131
Current Price
5.74
Change
-4.4925124792013245
Last Updated
2025-11-28T12:39:11.451Z
Image
data:image/webp;base64,UklGRlgHAABXRUJQVlA4WAoAAAAQAAAAPwAAPwAAQUxQSB4FAAANGTFpivGeEf0P2mS3/T9Hkh1qrbXWWmvN7LXWWmuttVaze7NLrX8JFJ63qBDoDTqKxoRAr7He4m/RK9AbjEnzeYPO4Mwejy+DwnqH8uj9sd6iohh0CrQa69GkVzjzynshDMZjCIO2GEJjvQ2h3ENl8LxFewyhsd7LoLHmIWICJuAW8TuAt3QrP/Q9bOhnx5jb+77vEPYHzM/Mrdn7+oav+Lr928HPLIGhCPSzo77tU8I9KOt/huibIIzHz5JRYCN+dqCIFBg/w8bAcID5mWECGRMYP7NKTI0A0c8Og/m2hPgZUmCSSqmhSWFug76Fge9ihoQZAnGQU8FhOMZbRwoCyitWihQquqMLklnmHkyxUuaC5J1IEg1DBBWhjAS53pH7LJomcVMwQXgmCGze+EhKs8gCKUcgAIakvAPmBviqzG6KmMkQq83Je4mi+bSv0cJPWk8+GgHto9yXBGq+qPuMD5vfhd8ERIirxjm5iWQamqxpdCDjyRsPApiCUMKbuLqzcuQ4zewG/vNEZo/nn7TGhm1yN9kHLEeqyc+sN4I5sDMKSijBsGV+P/LF1u/1JeETHmQQPBft3c1VtoFdmbRbVzy1ydRhQyahhAiMqiizJCbzWapmd+UHuCbMn0G80vo+Vj81be9t/QpfVo8fqXQLDCQbogkOrQTQTGZLNd19judaf847LdPkp5B25Qv4N1uLWgIoY/IFL9M8zH4tAMATGdNFqOioKqbeWD2BTld2lcs+FGEA9laPl6vu7cL1AM71xxR9+ZcRANzT1IVMF4IgTQvhiv6SaQ7QTGan9kUOHi57rWrQknbHB/2rdQcWGOuP0DZvAcjWQ8Fw0GQIniITKe47i/KqFj4ee4RBrmjG//BvMkrPcihjuRIWdS2bvbVG266tN2yUrA8Ss1p8UFWpg8vd7F/64PzJqkGodvL/5VfXH5cd20KexxBOLteem0uF9IZgFKAEgVhGGdNedILSdeCxDBtgYvLjpwl/PlW7XX40fwD3Humq+hCX5wdJEEXmHHPQfaZjfd2NN+6d7qSC1hAVY+Ms1fOX8m+zbJqpOZs/Gv67EN0l3j2zEAoDWbBiCJPIcnVFeNTBKdoEsol8oPOL+vV2+oD6MVrXfZS6nCdrAJCyFwbsS7hukrqzZymrXoOAgE0vm2T32fy7HM6Kwj5ULcMJXR8yAFaqDgbwNDKh5B3wE9mWgsKFZzv2eP9x8Pcre1melHnrO0ac26o4DC0Qo2iakTp6FLVwLtSEYZ4W9vz/9mR0qQu+ziOAxM4yZt1EMmyid6S44eaavC5iuNmIVkcXc724ea1gV3VdZjecdvJK7aPzpv3bk0z7PTe5OcnnyyEhXYSzpxjH7Nq6dzQtbduwTCIg2EAoJuuV0iYxohoWcGh4Ws8P4qxKtUpP9D8f4q/5XlplYHaTcJwkZZffFFoMn2epr+eP0KZZXzSLk3AejaucppXVOtMzyq30/G9sqdYQOh6vcneYoR73/1m6Zs+e21KY7Jpo2jMYbDE32doflwkt0Z71WAgfiTTIr1CJdjF12IbsmmmIyZQERsUubkp6199fUsqJJmzbwvkasEtOwmp0xnrlQi1zXLXbZnCYtUlDI20TNaZFPC8ctrmo4KPuleqNkopkh21/2t9g1HjeHBZH44uUYPtboZW1V3FEgpoZhmrAimGGlqMKiwzY91lFGBIzmIcXOSpmzQQEDFkRgRhD18ZARIutVCDCVjJgnNmSrTYACL/KAlZQOCAUAgAAUAwAnQEqQABAAD6tSJ5Jv7+jITAWDfvwFYlsAMkNADqPrD+G/IDnBsgO8a6wHmA6AHQ0+oVz8PsT/2pggVOD9gTyPtMfjXOLLjlm+ZdPxga4V0dg4FUOJVu0fXVli/DXVZNdR3izNR2DtYAA/v4TDqGT9wgDx07EvSK8isqdyD0HTwjx72f5sBvNDs/9HyCf6+zNZ1Z9B1T48sor25S1iGAiyy51jm3/HYJlCcLUYtqs9+ZASKZI9P+XKDRGIxI2jPfg4zOWc5vrG49ND//4FAq3wHWnpUT9avsOopA6KWlVoVBpt2Lmyc47XjHrxcsOf0+K9oqxbOOu5EzA1z9KaIrDuHGcvsjQJCTcEVaWeblsvlzvY1ft6p6M4i7yCzrQJmyT36JrBvVkiJ4yu6NIxZp5W01ywm9Buu2tj9l8hjSo45JbjN5Mdv87bfM4zN7M/Gcngsbunxd4WWfVn+PNuX8vf5jXyig3wPIpJa31r8d5p6r0MwXxOYLpIxqbqdmkSuvfMMyNDdnANqyRo7eXvn0WlZ0+t0o5LeS6Dl5HTK91fPk94snt54RhYofmD0E6nbbHpn7+VWUOZ+q5HS8ULHIuC6qeyd1NZySmBImtaABwTsHWnXifd4kKswz5Okmx74zWlbx61Om2z1IQyBM4fqv2nnAl5+tvs7X+Q+hs2mod135inhDCU/0lFbN6gIYefhzAAA==
Ipo Date
2020-05-12T00:00:00.000Z
Market Cap
217518608
Next Dividend Date
-
Dividend Frequency
-
Dividend Rate
-
Dividend Yield
0
Sentiment
-
Sentiment Sources
0
Rating
5
Target Price
20
Strong Buy
1
Buy
0
Hold
0
Sell
0
Strong Sell
0
Current Quarter
2025-09-30
Revenue
1547000
Cost Of Revenue
1020999
Gross Profit
526000
Operating Expenses
4639000
Operating Income
-4113000
Interest Expense
116000
Pretax Income
-1399000
Net Income
-1305000
Eps
-0.03546428964796842
Dividends Per Share
-
Shares Outstanding
41830502
Income Tax Expense
-
EBITDA
-1118000
Operating Margin
-265.8694246929541
Total Other Income Expense Net
2714000
Cash
43184000
Short Term Investments
27223000
Receivables
1745000
Inventories
4378000
Total Current Assets
78029000
Property Plant Equipment
3277000
Total Assets
81915000
Payables
2071000
Short Term Debt
517000
Long Term Debt
30000
Total Liabilities
10652000
Equity
72564000
Depreciation
165000
Change In Working Capital
-1564043
Cash From Operations
-4038539
Capital Expenditures
519350
Cash From Investing
-20434420
Cash From Financing
42954347
Net Change In Cash
9774000
PE
-
PB
2.910783631828455
ROE
-1.7984124359186373
ROA
-1.593114814136605
FCF
-4557889
Fcf Percent
-2.9462760180995473
Piotroski FScore
0
Health Score
34
Deep Value Investing Score
4
Defensive Investing Score
7
Dividend Investing Score
1.5
Economic Moat Investing Score
5.3
Garp Investing Score
4.5
Growth Investing Score
3
Momentum Investing Score
4.5
Net Net Investing Score
1
Quality Investing Score
3
Value Investing Score
4
Quarters > 0 > quarter
2025-09-30
Quarters > 0 > income Statement > revenue
1547000
Quarters > 0 > income Statement > cost Of Revenue
1020999
Quarters > 0 > income Statement > gross Profit
526000
Quarters > 0 > income Statement > operating Expenses
4639000
Quarters > 0 > income Statement > operating Income
-4113000
Quarters > 0 > income Statement > interest Expense
116000
Quarters > 0 > income Statement > pretax Income
-1399000
Quarters > 0 > income Statement > net Income
-1305000
Quarters > 0 > income Statement > eps
-0.03546428964796842
Quarters > 0 > income Statement > dividends Per Share
-
Quarters > 0 > income Statement > shares Outstanding
36797579
Quarters > 0 > income Statement > income Tax Expense
-
Quarters > 0 > income Statement > EBITDA
-1118000
Quarters > 0 > income Statement > operating Margin
-265.8694246929541
Quarters > 0 > income Statement > total Other Income Expense Net
2714000
Quarters > 0 > balance Sheet > cash
43184000
Quarters > 0 > balance Sheet > short Term Investments
27223000
Quarters > 0 > balance Sheet > receivables
1745000
Quarters > 0 > balance Sheet > inventories
4378000
Quarters > 0 > balance Sheet > total Current Assets
78029000
Quarters > 0 > balance Sheet > property Plant Equipment
3277000
Quarters > 0 > balance Sheet > total Assets
81915000
Quarters > 0 > balance Sheet > payables
2071000
Quarters > 0 > balance Sheet > short Term Debt
517000
Quarters > 0 > balance Sheet > long Term Debt
30000
Quarters > 0 > balance Sheet > total Liabilities
10652000
Quarters > 0 > balance Sheet > equity
72564000
Quarters > 0 > cash Flow > net Income
-1305000
Quarters > 0 > cash Flow > depreciation
165000
Quarters > 0 > cash Flow > change In Working Capital
-1564043
Quarters > 0 > cash Flow > cash From Operations
-4038539
Quarters > 0 > cash Flow > capital Expenditures
519350
Quarters > 0 > cash Flow > cash From Investing
-20434420
Quarters > 0 > cash Flow > cash From Financing
42954347
Quarters > 0 > cash Flow > net Change In Cash
9774000
Quarters > 0 > ratios > PE
-0.03546428964796842
Quarters > 0 > ratios > PB
2.910783631828455
Quarters > 0 > ratios > ROE
-1.7984124359186373
Quarters > 0 > ratios > ROA
-1.593114814136605
Quarters > 0 > ratios > FCF
-4557889
Quarters > 0 > ratios > Piotroski FScore
0
Quarters > 0 > ratios > fcf Percent
-2.9462760180995473
Quarters > 0 > health Score
34
Quarters > 1 > quarter
2025-06-30
Quarters > 1 > income Statement > revenue
1160000
Quarters > 1 > income Statement > cost Of Revenue
890000
Quarters > 1 > income Statement > gross Profit
270000
Quarters > 1 > income Statement > operating Expenses
7067000
Quarters > 1 > income Statement > operating Income
-6797000
Quarters > 1 > income Statement > interest Expense
223000
Quarters > 1 > income Statement > pretax Income
-11155000
Quarters > 1 > income Statement > net Income
-12515000
Quarters > 1 > income Statement > eps
-0.3544901997551568
Quarters > 1 > income Statement > dividends Per Share
-
Quarters > 1 > income Statement > shares Outstanding
35304220
Quarters > 1 > income Statement > income Tax Expense
-
Quarters > 1 > income Statement > EBITDA
-10809000
Quarters > 1 > income Statement > operating Margin
-585.948275862069
Quarters > 1 > income Statement > total Other Income Expense Net
-4358000
Quarters > 1 > balance Sheet > cash
28451000
Quarters > 1 > balance Sheet > short Term Investments
7577000
Quarters > 1 > balance Sheet > receivables
3178000
Quarters > 1 > balance Sheet > inventories
3392000
Quarters > 1 > balance Sheet > total Current Assets
42598000
Quarters > 1 > balance Sheet > property Plant Equipment
2893000
Quarters > 1 > balance Sheet > total Assets
46098000
Quarters > 1 > balance Sheet > payables
2774000
Quarters > 1 > balance Sheet > short Term Debt
556000
Quarters > 1 > balance Sheet > long Term Debt
32000
Quarters > 1 > balance Sheet > total Liabilities
14568000
Quarters > 1 > balance Sheet > equity
32736000
Quarters > 1 > cash Flow > net Income
-12592000
Quarters > 1 > cash Flow > depreciation
123000
Quarters > 1 > cash Flow > change In Working Capital
-1392000
Quarters > 1 > cash Flow > cash From Operations
-5876000
Quarters > 1 > cash Flow > capital Expenditures
99000
Quarters > 1 > cash Flow > cash From Investing
2568000
Quarters > 1 > cash Flow > cash From Financing
6343000
Quarters > 1 > cash Flow > net Change In Cash
4260000
Quarters > 1 > ratios > PE
-0.3544901997551568
Quarters > 1 > ratios > PB
6.190317167644184
Quarters > 1 > ratios > ROE
-38.23008308895406
Quarters > 1 > ratios > ROA
-27.1486832400538
Quarters > 1 > ratios > FCF
-5975000
Quarters > 1 > ratios > Piotroski FScore
1
Quarters > 1 > ratios > fcf Percent
-5.150862068965517
Quarters > 1 > health Score
27
Quarters > 2 > quarter
2025-03-31
Quarters > 2 > income Statement > revenue
1974000
Quarters > 2 > income Statement > cost Of Revenue
1348000
Quarters > 2 > income Statement > gross Profit
626000
Quarters > 2 > income Statement > operating Expenses
8154000
Quarters > 2 > income Statement > operating Income
-7528000
Quarters > 2 > income Statement > interest Expense
74000
Quarters > 2 > income Statement > pretax Income
-6753000
Quarters > 2 > income Statement > net Income
-6421000
Quarters > 2 > income Statement > eps
-0.19440186216456862
Quarters > 2 > income Statement > dividends Per Share
-
Quarters > 2 > income Statement > shares Outstanding
33029519
Quarters > 2 > income Statement > income Tax Expense
-
Quarters > 2 > income Statement > EBITDA
-6528000
Quarters > 2 > income Statement > operating Margin
-381.3576494427558
Quarters > 2 > income Statement > total Other Income Expense Net
775000
Quarters > 2 > balance Sheet > cash
24191000
Quarters > 2 > balance Sheet > short Term Investments
10856000
Quarters > 2 > balance Sheet > receivables
2994000
Quarters > 2 > balance Sheet > inventories
781000
Quarters > 2 > balance Sheet > total Current Assets
38822000
Quarters > 2 > balance Sheet > property Plant Equipment
3156000
Quarters > 2 > balance Sheet > total Assets
42178000
Quarters > 2 > balance Sheet > payables
1477000
Quarters > 2 > balance Sheet > short Term Debt
633000
Quarters > 2 > balance Sheet > long Term Debt
98000
Quarters > 2 > balance Sheet > total Liabilities
10843000
Quarters > 2 > balance Sheet > equity
32465000
Quarters > 2 > cash Flow > net Income
-6753000
Quarters > 2 > cash Flow > depreciation
151000
Quarters > 2 > cash Flow > change In Working Capital
-678000
Quarters > 2 > cash Flow > cash From Operations
-3811000
Quarters > 2 > cash Flow > capital Expenditures
46000
Quarters > 2 > cash Flow > cash From Investing
-10696000
Quarters > 2 > cash Flow > cash From Financing
25713000
Quarters > 2 > cash Flow > net Change In Cash
10665000
Quarters > 2 > ratios > PE
-0.19440186216456862
Quarters > 2 > ratios > PB
5.8398102282458035
Quarters > 2 > ratios > ROE
-19.77822270137071
Quarters > 2 > ratios > ROA
-15.223576271990137
Quarters > 2 > ratios > FCF
-3857000
Quarters > 2 > ratios > Piotroski FScore
1
Quarters > 2 > ratios > fcf Percent
-1.9539007092198581
Quarters > 2 > health Score
30
Quarters > 3 > quarter
2024-12-31
Quarters > 3 > income Statement > revenue
1857000
Quarters > 3 > income Statement > cost Of Revenue
1507000
Quarters > 3 > income Statement > gross Profit
350000
Quarters > 3 > income Statement > operating Expenses
4833000
Quarters > 3 > income Statement > operating Income
-4483000
Quarters > 3 > income Statement > interest Expense
34000
Quarters > 3 > income Statement > pretax Income
-12160000
Quarters > 3 > income Statement > net Income
-11378000
Quarters > 3 > income Statement > eps
-0.4279448031692739
Quarters > 3 > income Statement > dividends Per Share
-
Quarters > 3 > income Statement > shares Outstanding
26587541
Quarters > 3 > income Statement > income Tax Expense
-
Quarters > 3 > income Statement > EBITDA
-2644750
Quarters > 3 > income Statement > operating Margin
-241.41087775982766
Quarters > 3 > income Statement > total Other Income Expense Net
-7677000
Quarters > 3 > balance Sheet > cash
13526000
Quarters > 3 > balance Sheet > short Term Investments
206000
Quarters > 3 > balance Sheet > receivables
2382000
Quarters > 3 > balance Sheet > inventories
796000
Quarters > 3 > balance Sheet > total Current Assets
17133000
Quarters > 3 > balance Sheet > property Plant Equipment
1545000
Quarters > 3 > balance Sheet > total Assets
18878000
Quarters > 3 > balance Sheet > payables
1834000
Quarters > 3 > balance Sheet > short Term Debt
1043000
Quarters > 3 > balance Sheet > long Term Debt
108000
Quarters > 3 > balance Sheet > total Liabilities
12034000
Quarters > 3 > balance Sheet > equity
13909000
Quarters > 3 > cash Flow > net Income
-11378000
Quarters > 3 > cash Flow > depreciation
210000
Quarters > 3 > cash Flow > change In Working Capital
-2036943
Quarters > 3 > cash Flow > cash From Operations
-3207069
Quarters > 3 > cash Flow > capital Expenditures
29430
Quarters > 3 > cash Flow > cash From Investing
-29429
Quarters > 3 > cash Flow > cash From Financing
12199956
Quarters > 3 > cash Flow > net Change In Cash
10290000
Quarters > 3 > ratios > PE
-0.4279448031692739
Quarters > 3 > ratios > PB
10.972211182687468
Quarters > 3 > ratios > ROE
-81.80314904018981
Quarters > 3 > ratios > ROA
-60.27121517109863
Quarters > 3 > ratios > FCF
-3236499
Quarters > 3 > ratios > Piotroski FScore
1
Quarters > 3 > ratios > fcf Percent
-1.7428642972536348
Quarters > 3 > health Score
23
Valuation > metrics > PE
-0.03546428964796842
Valuation > metrics > PB
2.910783631828455
Valuation > final Score
80
Valuation > verdict
Fair
Profitability > metrics > ROE
-1.7984124359186373
Profitability > metrics > ROA
-1.672455112842661
Profitability > metrics > Net Margin
-0.843568196509373
Profitability > final Score
0
Profitability > verdict
Weak
Risk > metrics > Debt Equity
0.14679455377322087
Risk > metrics > Interest Coverage
-35.456896551724135
Risk > final Score
-82
Risk > verdict
High
Liquidity > metrics > Current Ratio
30.15030911901082
Liquidity > metrics > Quick Ratio
28.458655332302936
Liquidity > final Score
100
Liquidity > verdict
Great
Prev Valuations > 0
20
Prev Valuations > 1
21.601897717541963
Prev Valuations > 2
20
Prev Profitabilities > 0
0
Prev Profitabilities > 1
0
Prev Profitabilities > 2
0
Prev Risks > 0
-62
Prev Risks > 1
-347
Prev Risks > 2
-479
Prev Liquidities > 0
100
Prev Liquidities > 1
100
Prev Liquidities > 2
100
Updated At
2025-12-13T00:27:16.449Z
A2Z Cust2Mate Solutions Corp., a technology company, focuses on the development and commercialization of retail smart cart solutions for grocery stores and supermarkets in Israel and internationally. The company operates through three segments: Precision Metal Parts, Advanced Engineering, and Smart Carts. It offers Cust2Mate system, which incorporates a smart cart that automatically calculates the value of the customers purchases in their smart cart without having to unload and reload their purchases at a customer checkout point. The company also manufactures and sells precision metal parts; provides retail automation solutions; and develops Fuel Tank Inertia Capsule System technology (FTICS), a vehicle device cover for the military and civilian automotive industry. In addition, it provides maintenance services utilizing the application of advanced engineering capabilities to the military and security markets, as well as develops related products for the civilian and retail markets; container leasing services; and maintenance services for complex electronic systems and products. It serves its products to grocery stores, hardware stores, household essentials, do it yourself (DIY) retailers, discount stores, warehouse stores, convenience stores, drug stores, duty free shops, and similar outlets. A2Z Cust2Mate Solutions Corp. was formerly known as A2Z Smart Technologies Corp. and changed its name to A2Z Cust2Mate Solutions Corp. in August 2024. The company is headquartered in Vancouver, Canada.
Stock Price
$ 0.00
0% decrease compared to yesterday.
Dividend
Frequency:
Rate:
N/ANext Payout:
N/AA2Z Cust2Mate (NASDAQ: AZ) appoints regional sales leaders to drive Smart Cart expansion Stock Titan
Read more →Stocks of A2Z Cust2Mate Solutions Corp (AZ) are poised to climb above their peers - Setenews
12/11/2025
Stocks of A2Z Cust2Mate Solutions Corp (AZ) are poised to climb above their peers Setenews
Read more →Showing 2 of 10
(Last Updated 2025-09-30)
Rating:
STRONG BUY
Target Price:
$20
Analyst Picks
Strong Buy
1
Buy
0
Hold
0
Sell
0
Strong Sell
0
(Last Updated 2025-09-30)
Health Score
Price to Book Ratio (P/B)
-
Very High
Low ≤ 1
High ≥ 3
Return on Equity (ROE)
-
Very Low
Low ≤ 5%
High ≥ 25%
Return on Assets (ROA)
-
Very Low
Low ≤ 2%
High ≥ 10%
Free Cash Flow - Revenue % (FCF)
-
Very Low
Low ≤ 5%
High ≥ 15%
Debt to Equity
-
Very High
Low ≥ 1
High ≤ 0.3
* Institutions hold a combined 16.10% of the total shares of A2Z Smart Technologies Corp
1.
Philadelphia Financial Mgmt Of San Franc(2.845%)
since
2025/06/30
2.
Alyeska Investment Group, L.P.(2.6402%)
since
2025/06/30
3.
Garnet Capital Holdings, Inc.(2.1933%)
since
2025/06/30
4.
Shay Capital LLC(1.9018%)
since
2025/06/30
5.
Clal Insurance Enterprises Holdings Ltd(1.5177%)
since
2025/06/30
6.
Atlantic Trust Group, LLC(0.8964%)
since
2025/06/30
7.
Cable Car Capital LLC(0.8676%)
since
2025/06/30
8.
Susquehanna International Group, LLP(0.8559%)
since
2025/06/30
9.
IHT Wealth Management, LLC(0.5051%)
since
2025/06/30
10.
Honeycomb Asset Management LP(0.4657%)
since
2025/06/30
11.
Citadel Advisors Llc(0.2743%)
since
2025/06/30
12.
Renaissance Technologies Corp(0.1941%)
since
2025/06/30
13.
SIMPLEX TRADING, LLC(0.1798%)
since
2025/06/30
14.
Mountain Hill Investment Partners Corp.(0.1561%)
since
2025/06/30
15.
Mercer Global Advisors Inc.(0.1541%)
since
2025/06/30
16.
Marshall Wace Asset Management Ltd(0.1082%)
since
2025/06/30
17.
Curated Wealth Partners LLC(0.0925%)
since
2025/06/30
18.
Group One Trading, LP(0.0893%)
since
2025/06/30
19.
Kestra Advisory Services, LLC(0.088%)
since
2025/06/30
20.
Weybosset Research & Management LLC(0.0736%)
since
2025/06/30
* Investors data is estimated based on stocks listed on Finnton that are currently held by Institution/Fund.
No earnings data available.
(Last Updated 2025-09-30)
(Last Updated 2025-09-30)
Revenue
$ 0
Cost Of Revenue
$ 0
Gross Profit
$ 0
Operating Expenses
$ 0
Operating Income
$ 0
Interest Expense
$ 0
Pretax Income
$ 0
Net Income
$ 0
Income Tax Expense
$ 0
EBITDA
$ 0
Total Other Income Expense Net
$ 0
Earnings Per Share
0
Dividends Per Share
0
Shares Outstanding
0
Operating Margin
0%
(Last Updated 2025-09-30)
Cash
$ 0
Short Term Investments
$ 0
Receivables
$ 0
Inventories
$ 0
Total Current Assets
$ 0
Property Plant Equipment
$ 0
Total Assets
$ 0
Payables
$ 0
Short Term Debt
$ 0
Long Term Debt
$ 0
Total Liabilities
$ 0
Equity
$ 0
(Last Updated 2025-09-30)
Net Income
$ 0
Depreciation
$ 0
Change In Working Capital
$ 0
Cash From Operations
$ 0
Capital Expenditures
$ 0
Cash From Investing
$ 0
Cash From Financing
$ 0
Net Change In Cash
$ 0
Disclaimer: Finnton is a stock screener tool provided for informational and educational purposes only. The data, analysis, and insights offered on this website do not constitute financial, investment, tax, or legal advice. Users are solely responsible for their own investment decisions, and Finnton makes no guarantees regarding the accuracy, completeness, or reliability of the information provided. Past performance is not indicative of future results. Always conduct your own research and consult with a licensed financial advisor before making any investment decisions.