Driehaus Capital Administration LLC boosted its stake in shares of Vinci Companions Investments Ltd. (NASDAQ:VINP – Free Report) by 6.8% within the 2nd quarter, in keeping with its most up-to-date Type 13F submitting with the Securities and Change Fee (SEC). The institutional investor owned 154,158 shares of the corporate’s inventory after buying an extra 9,803 shares throughout the quarter. Driehaus Capital Administration LLC owned 0.29% of Vinci Companions Investments price $1,680,000 as of its most up-to-date SEC submitting.
Plenty of different hedge funds and different institutional traders additionally just lately made adjustments to their positions in VINP. Absolute Gestao de Investimentos Ltda. purchased a brand new place in Vinci Companions Investments throughout the 1st quarter valued at about $217,000. Quadrature Capital Ltd acquired a brand new place in shares of Vinci Companions Investments within the 4th quarter price roughly $229,000. Nationwide Financial institution of Canada FI elevated its holdings in Vinci Companions Investments by 209.1% throughout the 2nd quarter. Nationwide Financial institution of Canada FI now owns 139,655 shares of the corporate’s inventory valued at $1,522,000 after buying an extra 94,467 shares within the final quarter. UBS Group AG raised its place in Vinci Companions Investments by 15.5% within the 4th quarter. UBS Group AG now owns 596,245 shares of the corporate’s inventory valued at $6,529,000 after buying an extra 79,945 shares over the last quarter. Lastly, Grandeur Peak International Advisors LLC boosted its stake in Vinci Companions Investments by 0.6% within the first quarter. Grandeur Peak International Advisors LLC now owns 864,851 shares of the corporate’s inventory price $9,773,000 after buying an extra 4,968 shares within the final quarter. 34.07% of the inventory is owned by institutional traders.
Vinci Companions Investments Value Efficiency
Shares of VINP inventory opened at $9.89 on Monday. The corporate has a fast ratio of 10.68, a present ratio of 10.68 and a debt-to-equity ratio of 0.52. Vinci Companions Investments Ltd. has a 12 month low of $9.01 and a 12 month excessive of $11.85. The agency has a market cap of $531.87 million, a price-to-earnings ratio of 12.21 and a beta of 0.09. The inventory has a 50-day transferring common worth of $10.54 and a 200 day transferring common worth of $10.78.
Vinci Companions Investments (NASDAQ:VINP – Get Free Report) final posted its quarterly earnings outcomes on Wednesday, August seventh. The corporate reported $0.10 earnings per share for the quarter, lacking analysts’ consensus estimates of $0.17 by ($0.07). Vinci Companions Investments had a return on fairness of 13.37% and a web margin of 36.07%. The enterprise had income of $25.18 million for the quarter, in comparison with the consensus estimate of $20.50 million. Analysis analysts anticipate that Vinci Companions Investments Ltd. will put up 0.65 EPS for the present yr.
Vinci Companions Investments Dividend Announcement
The enterprise additionally just lately declared a quarterly dividend, which was paid on Thursday, September fifth. Stockholders of document on Wednesday, August twenty first had been paid a $0.17 dividend. This represents a $0.68 dividend on an annualized foundation and a dividend yield of 6.88%. The ex-dividend date was Wednesday, August twenty first. Vinci Companions Investments’s dividend payout ratio (DPR) is at the moment 83.95%.
Wall Road Analysts Forecast Progress
Individually, JPMorgan Chase & Co. decreased their worth goal on shares of Vinci Companions Investments from $15.00 to $14.00 and set an “obese” score on the inventory in a report on Thursday, July eleventh.
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Vinci Companions Investments Firm Profile
Vinci Companions Investments Ltd. operates as an asset administration agency in Brazil. The corporate focuses on personal markets, liquid methods, funding merchandise and options, and retirement providers. It presents personal fairness, infrastructure, actual property, credit score, particular conditions, equities, hedge funds, and funding merchandise and options comprising portfolio and administration providers.
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