BackSPV
65
data fresh ✓ · liquidity ✓
Score breakdown - why 65?
Fundamental · 35.29%20.36 / 35.29
Gross profitabilityrank0.305
Net marginrank0.179
ROE (TTM)rank0.185
Technical · 29.41%28.26 / 29.41
12-1 momentumentry1.06
MA50 trendentry0.223
Valuation · 23.53%18.13 / 23.53
Earnings yield (E/P)rank0.299
FCF yieldrank0
Book-to-price (B/P)rank0
Liquidity · 11.76%5.88 / 11.76
20-day ADVsizing1.72B
Amihud illiquiditysizing0.000293
Qualitative / News · 0%0 / 0
Portfolio fit · 0%0 / 0
Risk penalty · Subtracted from the component total (§2.6).-7.94
Triggered rules
+15
Relative strength vs VN-Index
+10
ROE ≥ 15%
+10
Close > MA50 > MA200
-6
Elevated leverage
-4
Thin liquidity / price impact
Recent news signals
No news signals yet (news pipeline arrives in Phase 6).
Ask the assistant: “Why is SPV Neutral?”