Compare Inventory Turnover Across Equities
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Cross Equities Inventory Turnover Analysis
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2010 | 2011 | 2012 | 2013 | 2014 | 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
DK | 25.8162 | 13.289 | 16.8922 | 12.2844 | 16.4267 | 17.6274 | 10.3522 | 8.358 | 13.3154 | 8.8815 | 10.368 | 8.9077 | 12.7239 | 16.5595 | 19.99 |
CAPL | 843 | 1.3 K | 863 | 863 | 210 | 131 | 130 | 128 | 161 | 320 | 73.9774 | 71.6335 | 97.0608 | 76.4939 | 72.67 |
PARR | 8.2172 | 2.5 K | 2.2675 | 2.2675 | 12.1072 | 8.236 | 8.4102 | 6.0824 | 9.488 | 7.9395 | 7.0669 | 5.6088 | 6.2149 | 5.6757 | 5.39 |
VVV | 10.594 | 10.594 | 10.594 | 10.594 | 10.2054 | 8.4029 | 7.4629 | 8.4034 | 8.1443 | 2.1407 | 22.0766 | 25.8401 | 26.997 | 24.3 | 25.51 |
SGU | 6.8941 | 25.2778 | 20.6305 | 26.6194 | 22.0675 | 17.3306 | 15.8222 | 22.1025 | 20.051 | 20.4366 | 17.2093 | 18.6092 | 26.8222 | 24.14 | 14.0 |
DINO | 10.2623 | 12.0473 | 12.1879 | 13.0668 | 17.3787 | 12.8433 | 7.7813 | 7.2199 | 10.7167 | 9.706 | 8.3157 | 7.4267 | 9.7648 | 9.181 | 15.58 |
DKL | 37.8305 | 37.8305 | 68.4828 | 48.0622 | 71.3462 | 46.046 | 38.2373 | 19.9551 | 92.7141 | 34.2956 | 114 | 201 | 531 | 327 | 344 |
CVI | 8.1247 | 6.7234 | 13.6705 | 15.2279 | 26.0349 | 16.4715 | 13.0979 | 14.7604 | 16.8632 | 14.5179 | 13.8221 | 14.5124 | 15.6506 | 13.2136 | 12.0 |
PBF | 0.5416 | 9.5693 | 12.6963 | 12.8784 | 17.5588 | 10.5479 | 8.0607 | 9.4079 | 14.2475 | 11.1182 | 9.931 | 10.525 | 15.2525 | 11.3021 | 8.78 |
SUN | 538 | 538 | 1.4 K | 398 | 108 | 35.8548 | 24.0803 | 25.3146 | 42.9251 | 37.1432 | 25.767 | 30.7547 | 29.894 | 24.6468 | 23.41 |
Delek Energy, Crossamerica Partners, and Par Pacific Holdings Inventory Turnover description
A ratio showing how many times a company's inventory is sold and replaced over a period, indicating the efficiency of inventory management.Generate Optimal Portfolios
The classical approach to portfolio optimization is known as Modern Portfolio Theory (MPT). It involves categorizing the investment universe based on risk (standard deviation) and return, and then choosing the mix of investments that achieves the desired risk-versus-return tradeoff. Portfolio optimization can also be thought of as a risk-management strategy as every type of equity has a distinct return and risk characteristics as well as different systemic risks, which describes how they respond to the market at large. Macroaxis enables investors to optimize portfolios that have a mix of equities (such as stocks, funds, or ETFs) and cryptocurrencies (such as Bitcoin, Ethereum or Monero)
Check out your portfolio center.Note that this page's information should be used as a complementary analysis to find the right mix of equity instruments to add to your existing portfolios or create a brand new portfolio. You can also try the Sectors module to list of equity sectors categorizing publicly traded companies based on their primary business activities.
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