VimpelCom Key Fundamental Indicators

In relation to fundamental indicators, the technical analysis model makes it possible for you to check existing technical drivers of VimpelCom, as well as the relationship between them.
Analyzing historical trends in various income statement and balance sheet accounts from VimpelCom's financial statements helps investors evaluate the company's valuation, profitability, and current liquidity needs. Key fundamental drivers impacting VimpelCom's valuation are summarized below:
VimpelCom does not presently have any fundamental trend indicators for analysis. This module does not cover all equities due to inconsistencies in global equity categorizations. Continue to Equity Screeners to view more equity screening tools.
  

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Return on Asset measures overall efficiency of a company in generating profits from its total assets. It is expressed as the percentage of profits earned per dollar of Asset. A low ROA typically means that a company is asset-intensive and therefore will needs more money to continue generating revenue in the future.
Competition
Based on the latest financial disclosure, VimpelCom has a Return On Asset of 3.0E-4. This is much higher than that of the sector and significantly higher than that of the Return On Asset industry. The return on asset for all United States stocks is notably lower than that of the firm.

VimpelCom Fundamental Drivers Relationships

Comparative valuation techniques use various fundamental indicators to help in determining VimpelCom's current stock value. Our valuation model uses many indicators to compare VimpelCom value to that of its competitors to determine the firm's financial worth. You can analyze the relationship between different fundamental ratios across VimpelCom competition to find correlations between indicators driving VimpelCom's intrinsic value. More Info.
VimpelCom is rated first in return on asset category among its peers. It is rated fourth in profit margin category among its peers fabricating about  3.00  of Profit Margin per Return On Asset. Comparative valuation analysis is a catch-all technique that is used if you cannot value VimpelCom by discounting back its dividends or cash flows. It compares the stock's price multiples to nearest competition to determine if the stock is relatively undervalued or overvalued.

VimpelCom Return On Asset Peer Comparison

Stock peer comparison is one of the most widely used and accepted methods of equity analyses. It analyses VimpelCom's direct or indirect competition against its Return On Asset to detect undervalued stocks with similar characteristics or determine the stocks which would be a good addition to a portfolio. Peer analysis of VimpelCom could also be used in its relative valuation, which is a method of valuing VimpelCom by comparing valuation metrics of similar companies.
VimpelCom is currently under evaluation in return on asset category among its peers.

VimpelCom Fundamentals

Pair Trading with VimpelCom

One of the main advantages of trading using pair correlations is that every trade hedges away some risk. Because there are two separate transactions required, even if VimpelCom position performs unexpectedly, the other equity can make up some of the losses. Pair trading also minimizes risk from directional movements in the market. For example, if an entire industry or sector drops because of unexpected headlines, the short position in VimpelCom will appreciate offsetting losses from the drop in the long position's value.
The ability to find closely correlated positions to Equifax could be a great tool in your tax-loss harvesting strategies, allowing investors a quick way to find a similar-enough asset to replace Equifax when you sell it. If you don't do this, your portfolio allocation will be skewed against your target asset allocation. So, investors can't just sell and buy back Equifax - that would be a violation of the tax code under the "wash sale" rule, and this is why you need to find a similar enough asset and use the proceeds from selling Equifax to buy it.
The correlation of Equifax is a statistical measure of how it moves in relation to other instruments. This measure is expressed in what is known as the correlation coefficient, which ranges between -1 and +1. A perfect positive correlation (i.e., a correlation coefficient of +1) implies that as Equifax moves, either up or down, the other security will move in the same direction. Alternatively, perfect negative correlation means that if Equifax moves in either direction, the perfectly negatively correlated security will move in the opposite direction. If the correlation is 0, the equities are not correlated; they are entirely random. A correlation greater than 0.8 is generally described as strong, whereas a correlation less than 0.5 is generally considered weak.
Correlation analysis and pair trading evaluation for Equifax can also be used as hedging techniques within a particular sector or industry or even over random equities to generate a better risk-adjusted return on your portfolios.
Pair CorrelationCorrelation Matching
Check out World Market Map to better understand how to build diversified portfolios. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in employment.
You can also try the Analyst Advice module to analyst recommendations and target price estimates broken down by several categories.

Other Consideration for investing in VimpelCom Stock

If you are still planning to invest in VimpelCom check if it may still be traded through OTC markets such as Pink Sheets or OTC Bulletin Board. You may also purchase it directly from the company, but this is not always possible and may require contacting the company directly. Please note that delisted stocks are often considered to be more risky investments, as they are no longer subject to the same regulatory and reporting requirements as listed stocks. Therefore, it is essential to carefully research the VimpelCom's history and understand the potential risks before investing.
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