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Price Low (Div & Split Adjusted) (Trading Days Only) for Meraki Acquisition One, Inc.

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MRKI.P: Meraki Acquisition One, Inc.

Meraki Acquisition One, Inc. does not have significant operations. It intends to identify and evaluate assets or businesses with a view to complete a qualifying transaction. The company was incorporat...

0.04 CAD
Price
CAD
Fair Value
Upside
- - -
52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on Meraki Acquisition One, Inc.'s Price Low (Div & Split Adjusted) (Trading Days Only):

Oct 2016Oct 2018Oct 2020Oct 2022Oct 202400.0500.100.150.20

Performance Summary
  • Meraki Acquisition One's price low (div & split adjusted) (trading days only) is 0.045

Benchmarks

Metric Usage: Price Low (Div & Split Adjusted) (Trading Days Only)

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asset_price_low_adj_trading
Slug
number
Datatype
text
Format
current
Default Period
D
Periods Supported
Free
Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

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Metrics similar to Price Low (Div & Split Adjusted) (Trading Days Only) in the valuation category include:

  • Share Turnover Ratio - This item represents three-month average volume divided by the shares outstanding for a company
  • Ben Graham Number - A calculation inspired by Benjamin Graham often who is called the "father of value investing." The Graham Number estimates a stock's fundamental value by taking into account the company's earnings per share and book value per share.
  • Price / Book - Compares a firm's market value of equity to the amount of common equity listed on the balance sheet.
  • Price Close Date - The date of the stock price.
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Price Low (Div & Split Adjusted) (Trading Days Only)

The lowest price of the last trading day. Price history is adjusted for splits and dividends. Data is returned for trading days only.

Definition of Price Low (Div & Split Adjusted) (Trading Days Only)

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The lowest price of the last trading day. Price history is adjusted for splits and dividends. Data is returned for trading days only.

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