Provided by Tiger Trade Technology Pte. Ltd.

Navistar

44.50
0.0000
Volume:- -
Turnover:- -
Market Cap:4.44B
PE:-23.11
High:44.50
Open:44.50
Low:44.50
Close:44.50
52wk High:44.50
52wk Low:44.50
Shares:99.74M
Float Shares:49.59M
Volume Ratio:- -
T/O Rate:- -
Dividend:- -
Dividend Rate:- -
EPS(TTM):-1.9252
EPS(LYR):-3.4804
ROE:4.64%
ROA:-0.01%
PB:-1.22
PE(LYR):-12.79

Loading ...

ProVen VCT Holds NAV Steady, Declares Interim Dividend and Expands Equity Base

TIPRANKS
·
Jan 28

ProVen Growth and Income VCT posts steady NAV and launches new fundraising offer

TIPRANKS
·
Jan 28

NextEnergy Solar Fund Warns of NAV Hit from UK Shift to CPI Indexation

TIPRANKS
·
Jan 28

AEW UK REIT lifts NAV, maintains 7.4% yield as active asset management offsets valuation headwinds

TIPRANKS
·
Jan 28

US Masters Residential Property Group Posts Lower Preliminary NAV on Currency Shift

TIPRANKS
·
Jan 28

Lowell Resources Fund Posts Estimated NAV of $3.3340 per Unit

TIPRANKS
·
Jan 28

Press Release: Cohen & Steers Total Return Realty Fund, Inc. (RFI) Notification of Sources of Distribution Under Section 19(a)

Dow Jones
·
Jan 28

Torrent Capital’s NAV Climbs as It Deploys Cash Into Tech and AI Holdings

TIPRANKS
·
Jan 27

Gresham House Income & Growth VCT Posts Positive NAV Return and Maintains Steady Dividends

TIPRANKS
·
Jan 27

BlackRock TCP Capital Reports Sharp NAV Decline in Q4

TIPRANKS
·
Jan 24

C3is Inc. management estimates NAV of $77.5M

TIPRANKS
·
Jan 23

Starwood European Real Estate Finance Nears Completion of Wind-Down After Returning 91% of NAV

TIPRANKS
·
Jan 23

Greencoat Renewables Sets Dates for Q4 NAV Update and 2025 Full-Year Results

TIPRANKS
·
Jan 22

VietNam Holding Posts December NAV Gain as Vietnam Caps Year of Strong Growth

TIPRANKS
·
Jan 22

VEF AB Delivers Strong 2025 as Creditas Drives NAV and Earnings Rebound

TIPRANKS
·
Jan 21

US Masters Residential Maintains Preliminary NAV at $0.395 Ahead of Portfolio Revaluation

TIPRANKS
·
Jan 21

Metrics Income Opportunities Trust posts solid 8.75% annual return as units trade below NAV

TIPRANKS
·
Jan 21

Lowell Resources Fund Posts Estimated NAV of $3.0493 per Unit

TIPRANKS
·
Jan 20

ArrowMark Financial Corp. reports estimated NAV $21.96 as of December 31

TIPRANKS
·
Jan 17

Ares Real Estate Income Trust Reports Higher NAV, Distributions

TIPRANKS
·
Jan 17