Valuation: Fund.com Inc.

Market Cap 7.76M 6.79M 6.26M 5.79M 11M 741M 11.18M 75M 29.4M 364M 29.14M 28.51M 1.26B P/E 2008
-43.4x
P/E 2009 -16.4x
Enterprise Value 7.62M 6.67M 6.15M 5.69M 10.8M 727M 10.98M 73.63M 28.86M 357M 28.61M 27.99M 1.24B EV / Sales 2008
-
EV / Sales 2009 366,570,493x
Free-Float
88.16%
Yield 2008 *
-
Yield 2009 -
1 day+20.00%
6 months+20.00%
Current year+20.00%
Current year 1.25
Extreme 1.25
2
1 year 1.25
Extreme 1.25
9.85
3 years 1
Extreme 1
9.85
5 years 0.78
Extreme 0.7808
9.85
10 years 0.41
Extreme 0.41
9.85
Change 5-day change 1-year change 3-year change Capi.($)
+20.00%-.--%-33.04%+36.36% 1.37M
+1.90%+2.02%+47.52%+136.48% 154B
+2.87%+2.48%-6.27%+46.58% 153B
+2.24%+5.16%+65.71%+249.56% 103B
+1.17%-0.18%+7.69%+114.25% 95.73B
+2.38%+1.35%-13.79%+57.09% 72.5B
+2.75%+7.04%+67.00%+145.23% 49.1B
+2.74%+3.12%-6.50%+50.88% 44.1B
+2.11%+2.82%-36.35%+42.06% 35.13B
+2.66%+4.76%+45.60%+150.79% 33.29B
Average +4.04%+2.92%+13.76%+102.93% 74.07B
Weighted average by Cap. +2.23%+2.85%+21.76%+114.59%

Financials

2008 2009
Net sales - 0.28 0.24 0.23 0.21 0.4 26.63 0.4 2.7 1.06 13.08 1.05 1.02 45.3
Net income -3.47M -3.04M -2.8M -2.59M -4.92M -331M -5M -33.55M -13.15M -163M -13.04M -12.75M -564M -6.17M -5.4M -4.98M -4.61M -8.75M -589M -8.89M -59.64M -23.38M -289M -23.18M -22.67M -1B
Net Debt 308K 270K 249K 230K 437K 29.45M 444K 2.98M 1.17M 14.46M 1.16M 1.13M 50.09M -142K -124K -115K -106K -201K -13.55M -205K -1.37M -538K -6.66M -533K -522K -23.06M
Logo Fund.com Inc.
Fund.com Inc. is a provider of fund management products and risk management solutions that help financial advisors, wealth managers, institutions and ultra-high-net-worth families create and manage wealth. The Company also offers services and investment fund information to the mass-market individual investor over the Internet at www.fund.com. The Company’s wealth management business solutions include ETF platform, regulatory authority, investment products, fund distribution and online lead generation. The Company has four wholly owned subsidiaries: Fund.com Technologies, Inc.; Fund.com Managed Products, Inc., with its wholly owned subsidiary Fund.com Capital, Inc.; Whyte Lyon Socratic, Inc., and Weston Capital Management, LLC. It also has a 60% interest in AdvisorShares Investments LLC. On November 2, 2009, the Company acquired Whyte Lyon Socratic, Inc. (Whyte Lyon). On March 29, 2010, the Company acquired Weston Capital Management, LLC (Weston Capital).
Employees
30
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