StockVS

SOJF (SOJF) Analyse boursière

SOJF

$25.27

+$0.09 (+0.36%)

Dernière mise à jour : 26 mai 2026

Historique des Prix

Analyse

Présentation de l'entreprise

Southern Company (The) Series 2, identified by the ticker symbol SOJF, operates within the financial services sector, though specific industry classifications and detailed business descriptions are not currently disclosed in the available data. The entity manages a portfolio of assets and liabilities, yet precise metrics regarding its operational scope and sector positioning remain undefined in the provided facts. In terms of scale, the company's market capitalization is listed as not available, and similarly, the annual revenue and total employee count are not quantified in the current dataset. Without specific figures for market cap, revenue, or headcount, a definitive assessment of the company's position relative to its peers or its overall size within the market cannot be numerically established based on the supplied information.

Santé financière

The revenue for the trailing twelve months is recorded as not available, and consequently, the net income and EBITDA figures cannot be stated to analyze the gap between top-line growth and profitability. Because the revenue and net income data are absent, it is impossible to elaborate on the cost structure or the efficiency of converting revenue into net income for this specific security. The free cash flow is also listed as not available, which prevents an evaluation of the company's current financial flexibility and its ability to fund capital expenditures or debt repayment without external financing. Regarding margin performance, the gross margin, operating margin, and profit margin are all designated as not available, meaning no numerical analysis of the company's pricing power or operational efficiency can be performed at this time. When comparing liquidity and leverage, the total cash and total debt balances are not available, and the debt-to-equity ratio is listed as not available, leaving the assessment of whether the balance sheet is conservative or leveraged entirely indeterminate. Furthermore, the current ratio is not provided, so the company's short-term liquidity position cannot be analyzed. Finally, the return on equity and return on assets are both marked as not available, making it impossible to quantify management effectiveness or the returns generated on shareholder capital and total assets.

Évaluation de la valorisation

The trailing P/E ratio and forward P/E are both listed as not available, which precludes any explanation regarding the difference between them or the implied trajectory of expected earnings. The price-to-book ratio is not available in the data, so no statement can be made about whether the market is pricing the security at a premium or discount relative to its book value. Similarly, the price-to-sales ratio and the EV/EBITDA multiple are not available, rendering alternative valuation metrics useless for assessing the security's relative cheapness or expensiveness. In terms of trading ranges, the 52-week high is established at $26.61, while the 52-week low is recorded at $24.89. Since the current price is not provided in the facts, a calculation of where the security sits relative to this $26.61 high and $24.89 low range cannot be performed. The beta value is listed as not available, so no explanation regarding the security's price volatility relative to the broader market can be offered.

Growth & Income

The revenue growth year-over-year and earnings growth year-over-year are both listed as not available, preventing an analysis of whether earnings are growing faster or slower than revenue or what that dynamic implies for future performance. Because the dividend yield and payout ratio are not available, it is impossible to state whether the company pays dividends or to evaluate the sustainability of any payout given the company's earnings. Likewise, the absence of dividend data means one cannot definitively explain whether the company reinvests earnings into growth rather than distributing them to shareholders. Consequently, the overall growth and income profile for Southern Company (The) Series 2 remains undefined based on the provided facts, as neither the growth rates nor the income distribution metrics can be quantified.

Cette analyse est générée par IA à titre informatif uniquement et ne constitue pas un conseil financier. Les données peuvent être retardées ou inexactes. Faites toujours vos propres recherches et consultez un conseiller financier qualifié avant de prendre des décisions d'investissement.

Statistiques Clés

Capitalisation
N/A
Ratio P/E
N/A
Plus Haut 52 Sem.
$26.61
Plus Bas 52 Sem.
$24.89
Volume Moyen
45.03K

Données fournies par Yahoo Finance via yfinance. Mis à jour quotidiennement.

Info Entreprise

Bourse
NYSE