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STI
3,064.5
5.9 (0.19%)

 

  • STI Straits Times Index
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  • Volume: 1,301.0M
  • Value: 999.2M
  • Rise: 145
  • Fall: 155
  • Unch: 454

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Nasdaq 15,161.5 +123.8
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Nikkei 225 30,323.3 -188.4
SSE Comp 3,607.1 -49.1
Shanghai A 3,780.4 -51.5
Shanghai B 275.0 -2.0
KOSPI 3,130.1 -23.3

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Fundamental - Factsheet

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EVOLENT HEALTH INC EVOLENT HEALTH INC CLASS A
Updated on 15 Sep 2021 (End of trading day)
Last (USD): 26.350 Change: +0.100 High: 26.500 Remarks: -
Change (%): +0.38 Low: 25.880
Open 26.220 Yesterday's Close 26.25
Buy Price - Sell Price -
Buy Volume (share) - Sell Volume (share) -
Cumulative Volume (share) 371,177 Cumulative Value
Click to show Stock Prices chart

Key Statistics

EPS (USD) a -3.83012 Trailing EPS (USD) e -0.83406 NAV (USD) b 7.0380
PE a - Trailing PE f - Price / NAV b 3.7440
Dividend (USD) d - Cash In Hand (USD) g 2.5784 Issued & Paid-up Shares c 87,267,800
Dividend Yield (%) d - Price / Cash In Hand g 10.220 Treasury Shares h 1,537,582
Market Cap (M) 2,299.507 Enterprise Value (M) 2,373.580
Piotroski F Score 5 Exchange Code EVH Par Value ( $ ) n.a.
52 Weeks Volatility (%) 40.80 Free Float (%) 99.0
Sector & Industry Commercial Services - Miscellaneous Commercial Services
Notes:
  1. Based on latest Full Year results announcement, adjusted for the current number of shares.
  2. Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of "Other Share Capital", illustrative financial effects of corporate actions (if applicable) and the current number of shares.
  3. Rounded to the nearest thousand. The figure pertains to the respective exchange the stock is listed on. Updated on 06 Aug 2021.Please click here for more information.
  4. Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
  5. Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
  6. Based on Trailing EPS.
  7. Based on reported cash and cash equivalents at end and extracted from the latest results announcement (Full Year, Half Year or Interim), adjusted for the current number of shares.
  8. Rounded to the nearest thousand. Updated on 06 Nov 2020.

Peer Comparison

Type Name Market Market Cap (M)a PE b Trailing PE c Price / NAV d Dividend Yield (%)d
Reference EVOLENT HEALTH INC NYSE 2,299.507 - - 3.7440 -
Industry Miscellaneous Commercial Services NYSE 6,044.504 187.746 71.951 5.2158 0.350
Local Peer RELX PLC SPON ADS EACH REPR 1 ORD SHS GBP0.144 NYSE 58,592.370 37.330 32.465 17.5259 2.142
Local Peer EQUIFAX INC NYSE 33,274.903 63.978 46.512 9.6156 0.571
Local Peer CHARLES RIVER LABORATORIES NYSE 22,163.921 60.839 55.958 9.5598 -
Local Peer FLEETCOR TECHNOLOGIES INC NYSE 21,463.023 30.478 27.547 6.1519 -
Local Peer BROADRIDGE FINANCIAL SOLUTION INC NYSE 19,707.901 35.996 35.996 10.8938 1.355
Local Peer PAGSEGURO DIGITAL LTD NYSE 18,101.138 72.286 82.477 9.0858 -
Local Peer CLARIVATE PLC NYSE 15,429.243 - - 1.5281 -
Local Peer CHEGG INC NYSE 10,727.874 - - 8.0186 -
Local Peer BOOZ ALLEN HAMILTON HLDG CORP NYSE 10,887.880 17.983 19.156 10.6375 1.627
Local Peer CAE INC NYSE 9,680.002 - 111.295 3.7717 -
Local Peer GENPACT LIMITED NYSE 9,463.822 30.699 26.704 5.1462 0.779
Local Peer BRIGHT HORIZONS FAM SOLUTIONS INC NYSE 8,499.075 316.231 391.140 6.6862 -
Other Local Peers RITCHIE BROS AUCTIONEERS (NYSE), ADT INC (NYSE), SHIFT4 PAYMENTS INC (NYSE), TRINET GROUP INC (NYSE), PAYSAFE LTD (NYSE), MAXIMUS INC (NYSE), FTI CONSULTING INC (NYSE), WNS HOLDINGS LTD SPONS ADR EA REPR 1 ORD SHS (NYSE), BRINK S COMPANY (NYSE), ABM INDUSTRIES INC (NYSE), PAYMENTUS HLDGS INC (NYSE), CONSTELLIUM SE (FRANCE) (NYSE), MEMBERSHIP COLLECTIVE GRP INC (NYSE), GREEN DOT CORP (NYSE), VIVINT SMART HOME INC (NYSE), KAR AUCTION SERVICES INC (NYSE), BROOKFIELD BUSINESS PARTNERS L P (NYSE), CBIZ INC (NYSE), BRIGHTVIEW HLDGS INC (NYSE), MONTROSE ENVIRONMENTAL GROUP INC (NYSE), VIAD CORP (NYSE), FRANKLIN COVEY CO (NYSE), VECTRUS INC (NYSE), DIGITAL MEDIA SOLUTIONS INC (NYSE), ATENTO SA (NYSE), GP STRATEGIES CORP (NYSE), GAOTU TECHEDU INC SPON ADS EACH REP 0.666 ORD SHS CL A (NYSE), EMERALD HOLDING INC (NYSE), UNIVERSAL TECHNICAL INSTITUTE (NYSE), STARTEK INC (NYSE), TAL EDUCATION GROUP SPON ADS EACH REP 0.3333 CL A ORD SHS (NYSE), TEAM INC (NYSE), BRIGHT SCHOLAR EDUCATION HLDGS LTD SPON ADR EACH REP 1 ORD SHS CL A (NYSE), RYB EDUCATION INC SPON ADS EACH REP 1 ORD CLASS A SHS (NYSE), PUXIN LIMITED ADS EACH REP 2 ORD SHS (NYSE), JUPAI HLDGS LTD ADS EACH REPR 6 SHS (NYSE), FOUR SEASONS EDUCATION (CAYMAN) INC ADS EACH REP 0.5 ORD SHS (NYSE), SUNLANDS TECHNOLOGY GROUP SPON ADS EACH REP 0.5 ORD SHS CL A(P/S) (NYSE), ONESMART INTL ED GRP LTD SPON EACH ADS REP 40 ORD SHS CLASS A (NYSE), CYPRESS ENVIRONMENTAL PARTNERS LP (NYSE)
Global Peer COPART INC NASDAQ 35,236.076 37.625 37.625 9.9842 -
Global Peer PHARMARON HKEx 140,848.437 106.968 95.573 12.5115 0.204
Global Peer PPD INC NASDAQ 16,399.244 136.487 63.489 -30.2136 -
Global Peer REA GROUP LIMITED ASX 20,816.355 64.511 64.511 19.4718 0.831
Global Peer MARAVAI LIFESCIENCES HLDGS INC NASDAQ 12,367.632 160.853 160.853 63.7789 -
Global Peer SYNEOS HEALTH INC NASDAQ 9,692.218 50.274 41.081 2.9927 -
Global Peer CONCENTRIX CORPORATION NASDAQ 9,001.637 54.618 54.618 3.5583 -
Global Peer LEGALZOOM COM INC NASDAQ 7,114.178 985.005 985.070 -13.0325 -
Global Peer MEDPACE HOLDINGS INC NASDAQ 6,417.744 44.283 36.682 7.5336 -
Global Peer STAMPS.COM INC NASDAQ 6,106.761 34.180 51.345 6.3657 -
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(IDX), KOOLEARN (HKEx), HACKETT GROUP INC (NASDAQ), TIANLI EDU (HKEx), PAE INCORPORATED (NASDAQ), BIT DIGITAL INC (NASDAQ), ATOMERA INCORPORATED (NASDAQ), VICOM Ltd (SGX), Prodia Widyahusada Tbk. (IDX), CHINA VAST (HKEx), ECLIPX GROUP LIMITED (ASX), MABPHARM-B (HKEx), The Place Hldg (SGX), REKOR SYSTEMS INC (NASDAQ), WILLDAN GROUP INC (NASDAQ), ASENSUS SURGICAL INC (NYSE American), Panin Financial Tbk. (IDX), NEUEDU (HKEx), WISDOM EDU INTL (HKEx), INFORMATION SERVICES GROUP INC (NASDAQ), DATANG ENVIRO (HKEx), SERVICE STREAM LTD (ASX), RALLYBIO CORP (NASDAQ), CODEX DNA INC (NASDAQ), VITRU LTD (NASDAQ), SELECT INTERIOR CONCEPTS INC (NASDAQ), C-LINK SQ (HKEx), CHAYO (SET), BIRMINGHAM SPTS (HKEx), EDGENTA (Bursa), CH XINHUA EDU (HKEx), ACACIA RESEARCH CORP (NASDAQ), COMSCORE INC (NASDAQ), TRAJAN GROUP HOLDINGS LTD (ASX), CELCUITY INC (NASDAQ), PERFORMANT FINANCIAL (NASDAQ), CHEN LIN EDU (HKEx), Bank Panin Dubai Syariah Tbk. (IDX), MAINSTREAM GROUP HOLDINGS LTD (ASX), TMT (SET), Bhakti Multi Artha Tbk. (IDX), POINTS INTERNATIONAL LTD (NASDAQ), CANDEL THERAPEUTICS INC (NASDAQ), CENTOGENE NV (NASDAQ), HUMAN (SET), SAMART (SET), CHINA CHUNLAI (HKEx), KISS (SET), PICO FAR EAST (HKEx), HUALI UNIV GP (HKEx), SEG (Bursa), GAIA INC NEW (NASDAQ), BROOK (SET), GENETIC SIGNATURES LTD (ASX), BOQI ENV (HKEx), RHYTHM BIOSCIENCES LTD (ASX), LINCOLN EDUCATIONAL SERVICES CORP (NASDAQ), CLASS LTD (ASX), ATLAN (Bursa), NETBAY (SET), AUCT (SET), LONGBOARD PHARMACEUTICALS INC (NASDAQ), USIO INC (NASDAQ), ELSOFT (Bursa), SO (SET), SUN INT'L (HKEx), URBAN GRO INC (NASDAQ), TSCAN THERAPEUTICS INC (NASDAQ), PAYSIGN INC (NASDAQ), CALYXT INC (NASDAQ), OTO (SET), HK EDU INTL (HKEx), INNO (Bursa), GOLDSTREAM INV (HKEx), KELLY PARTNERS GROUP HOLDINGS LTD (ASX), NET-A-GO TECH (HKEx), GREENLAND BROAD (HKEx), SCHOLAR EDU (HKEx), LIXIANG EDUCATION HLDG SPON ADS EACH REP 5 ORD SHS REG S (NASDAQ), QANTM INTELLECTUAL PROPERTY LTD (ASX), OPGEN INC (NASDAQ), VIVOS THERAPEUTICS INC (NASDAQ), CRMI (HKEx), NVD (SET), UnUsUaL (SGX), SLD GROUP (HKEx), Raffles Edu (SGX), HARBOUR (Bursa), SCICOM (Bursa), CREATIVE HLDGS (HKEx), ATA CREATIVITY GLOBAL SPON ADS EACH REP 2 ORD SHS (NASDAQ), STRAKER TRANSLATIONS LTD (ASX), GINGKO EDU (HKEx), VMOTO LIMITED (ASX), ODYSSEY MARINE EXPLORATION (NASDAQ), AVA RISK GROUP LTD (ASX), JOHNSON HLDGS (HKEx), PROTEOMICS INTL LABORATORIES LTD (ASX), IIG (SET), KUB (Bursa), Blumont (SGX), SLATER & GORDON LIMITED (ASX), WHERE FOOD COMES FROM (NASDAQ), TEAMG (SET), IWS GROUP (HKEx), COUNTPLUS LTD (ASX), NETWORK-1 TECHNOLOGIES INC (NYSE American), BKD (SET), 21CENTURY EDU (HKEx), WORKSPORT LTD (NASDAQ), MGRC (Bursa), WENYE GROUP (HKEx), TARENA INTL INC SPON ADS EACH REPR 1 ORD SHS (NASDAQ), ZONBONG ENVIRO (HKEx), ALLIED ESPORTS ENTERTAINMENT INC (NASDAQ), GTN LTD (ASX), RESEARCH SOLUTIONS INC (NASDAQ), UTS MARKETING (HKEx), STI (SET), MEATECH 3D LTD SPON ADS EACH REPR TEN ORD SHS (NASDAQ), OURGAME (HKEx), Tunas Alfin Tbk. (IDX), BESTSTUDY EDU (HKEx), URBANISE.COM LIMITED (ASX), LY Corp (SGX), CV CHECK LIMITED (ASX), 99 LOYALTY LTD CDI (ASX), DATASEA INC (NASDAQ), WONDERFUL SKY (HKEx), BOJUN EDU (HKEx), CHINA SMARTPAY (HKEx), GRAPHEX GROUP (HKEx), DAOHE GLOBAL (HKEx), ALJ REGIONAL HOLDINGS INC (NASDAQ), ANTERIS TECHNOLOGIES LTD (ASX), DASHAN EDU (HKEx), ELITE EDUCATION GRP INTL LTD (NASDAQ), NAMOI COTTON LTD (ASX), Multifiling Mitra Indonesia Tbk. (IDX), METEN HOLDING GROUP LTD (NASDAQ), SALARIUS PHARMACEUTICALS INC (NASDAQ), CROWN ELECTROKINETICS CORP (NASDAQ), Sunright (SGX), TOCEAN (Bursa), GS Hldg (SGX), KNK HOLDINGS (HKEx), RISE EDUCATION CAYMAN LTD SPON ADR EACH REP 2 ORD SHS (NASDAQ), LEADER EDU (HKEx), SYNERGY GROUP (HKEx), UNICYCIVE THERAPEUTICS INC (NASDAQ), TRXADE HEALTH INC (NASDAQ), MEDIWELCOME (HKEx), NOVA GROUP (HKEx), ZHONGCHAO INC (NASDAQ), PUREPROFILE LIMITED (ASX), WINSON HLDGS HK (HKEx), DESIGN CAPITAL (HKEx), VECTUS BIOSYSTEMS LTD (ASX), MIDLAND IC&I (HKEx), HEXIMA LIMITED (ASX), CCID CONSULTING (HKEx), SECURITY MATTERS LTD (ASX), STRAITS (Bursa), LIGHTBRIDGE CORPORATION (NASDAQ), REDHILL EDUCATION LTD (ASX), SPAR GROUP INC (NASDAQ), CHANHIGH (HKEx), SFUND INTL HLDG (HKEx), QUICKFEE LTD (ASX), TFP (Bursa), ASHFORD INC (NYSE American), Dyandra Media International Tbk. (IDX), WILHELMINA INTERNATIONAL INC (NASDAQ), MVP (SET), WAH FU EDUCATION GROUP LIMITED (NASDAQ), NutryFarm (SGX), STARLITE HOLD (HKEx), Indo Komoditi Korpora Tbk. (IDX), Lasseters Intl (SGX), AWN HOLDINGS LTD (ASX), DRAGON VICTORY INTERNATIONAL LTD (NASDAQ), EAH (Bursa), PAYRIGHT LTD (ASX), LM FUNDING AMERICA INC (NASDAQ), LCK Global Kedaton Tbk. (IDX), ADWAY (HKEx), CHING LEE (HKEx), Secura (SGX), ROMA GROUP (HKEx), K W NELSON GP (HKEx), FORTUNE SUN (HKEx), Chasen (SGX), CREDIT INTELLIGENCE LTD (ASX), WARISAN (Bursa), C DIGITAL CUL (HKEx), ZICO Hldgs (SGX), HYGIEIA GROUP (HKEx), XH NEWS MEDIA (HKEx), PICORP (Bursa), TSO (HKEx), MILLENNIUM SERVICES GROUP LTD (ASX), HSSP INTL (HKEx), MCLEAN (Bursa), GREATWALLE INC (HKEx), CHINA LIBERAL EDUCATION HLDGS LTD (NASDAQ), CHI E-INFO TECH (HKEx), SKILLFUL CRAFTSMAN EDU TECH LTD (NASDAQ), SIS MOBILE (HKEx), LUMINA GROUP (HKEx), SYNERGIS HOLD (HKEx), AL GROUP-NEW (HKEx), DOWWAY-OLD (HKEx), OUC HOLDINGS (HKEx), DOWWAY-NEW (HKEx), KOMARK (Bursa), KYCKR LIMITED (ASX), SPEEDY GLOBAL (HKEx), CHINA ORIENTED (HKEx), GREATWALLE-OLD (HKEx), EBROKER GROUP (HKEx), K (SET), WAC HOLDINGS (HKEx), SMRT (Bursa), ARIP (SET), RAFFLESINTERIOR (HKEx), BIOXYNE LIMITED (ASX), SANBASE CORP (HKEx), GSC (SET), LINOCRAFT HLDGS (HKEx), MAX SIGHT GROUP (HKEx), ASIAPAC FIN INV (HKEx), CONNEXION TELEMATICS LTD (ASX), AQUIRIAN LIMITED (ASX), MEDIBIO LIMITED (ASX), OOH HOLDINGS (HKEx), ETS GROUP (HKEx), Idea Indonesia Akademi Tbk. (IDX), ORIENTAL PAY (HKEx), GLOBAL M HLDG (HKEx), AEC GROUP (HKEx), Beng Kuang (SGX), Imago Mulia Persada Tbk. (IDX), HOPE LIFE INT (HKEx), ALTERRA LTD (ASX), ENERGY ACTION LTD (ASX), DADI EDU (HKEx), Limas Indonesia Makmur Tbk (IDX), Protech Mitra Perkasa Tbk. (IDX), PPS INT'L (HKEx), SINO VISION WW (HKEx), GOLDWAY EDU (HKEx), SITE GROUP INTERNATIONAL LIMITED (ASX), RMG (ASX), AL GROUP-OLD (HKEx), ROYAL CEN RES (HKEx), TSF (SET), Lima Dua Lima Tiga Tbk. (IDX), PROPERTY CONNECT HOLDINGS LTD (ASX)
Notes:
  1. For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is the average market cap for that industry/index.
  2. Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
  3. Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all companies in the industry/index.
  4. Industry/Index Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
  5. For Industry/Index calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
  6. Industry/Index/Peers data is updated daily.
  7. Peers are sorted by market capitalisation and only details for the top 10 will be shown.

Total Shareholder Return

PeriodDividend ReceivedCapital AppreciationTotal Shareholder Return
Short Term Return 5 Days -+0.980
+3.86 %
10 Days -+1.030
+4.07 %
20 Days -+3.420
+14.91 %
Medium Term Return 3 Months -+6.440
+32.35 %
6 Months -+5.640
+27.23 %
1 Year -+14.050
+114.23 %
Long Term Return 2 Years -+18.510
+236.10 %
3 Years --0.700
-2.59 %
5 Years -+3.550
+15.57 %
Annualised Return Annualised --
+2.94 %
Notes:
  1. Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
  2. Script dividends are ignored in this calculation.

Price Movements

1 Year Range 9.440 - 26.860 Change From 1 Year Low +16.910 % Change From 1 Year Low (%) +179.13
Change From 1 Year High -0.510 % Change From 1 Year High (%) -1.90
2 Years Range 3.500 - 26.860 Change From 2 Years Low +22.850 % Change From 2 Years Low (%) +652.86
Change From 2 Years High -0.510 % Change From 2 Years High (%) -1.90
5 Years Range 3.500 - 29.050 Change From 5 Years Low +22.850 % Change From 5 Years Low (%) +652.86
Change From 5 Years High -2.700 % Change From 5 Years High (%) -9.29
Notes:
  1. Price movements are based on adjusted historical data.

Company Background

Evolent Health, Inc. engages in the provision of health care delivery and payment services. It deals with population health management, health plan and third party administration, network performance and pharmacy benefit management, risk adjustment, analytics and performance improvement, and technology and electronic medical record integration. The firm operates through Services and True Health segments. The Services segment includes clinical and administrative solutions such as total cost of care management and specialty care management and comprehensive health plan administrative services. The True Health segment offers a physician-led health plan for employer-sponsored health coverage. The company was founded by Frank J. Williams, Seth B. Blackley, and Thomas Peterson III in August 2011 and is headquartered in Arlington, VA.

Historical Price Data

Date Open High Low Close Volume VWAP
15 Sep 2021 26.220 26.500 25.880 26.350 371,177 -
14 Sep 2021 26.100 26.640 26.100 26.250 428,595 -
13 Sep 2021 25.830 26.150 25.310 25.970 353,111 -
10 Sep 2021 25.420 25.545 25.010 25.200 410,754 -
09 Sep 2021 25.610 25.810 25.370 25.370 239,764 -
08 Sep 2021 25.760 26.300 25.470 25.600 726,798 -
07 Sep 2021 26.250 26.860 25.860 25.970 481,989 -
03 Sep 2021 25.300 26.200 25.230 26.190 609,800 -
02 Sep 2021 24.780 25.360 24.410 25.320 512,804 -
01 Sep 2021 24.570 25.180 24.460 24.820 691,848 -
31 Aug 2021 24.650 24.970 24.305 24.560 1,421,848 -
30 Aug 2021 24.480 24.500 23.940 24.500 564,002 -
27 Aug 2021 23.890 24.630 23.880 24.360 523,787 -
26 Aug 2021 24.010 24.350 23.760 23.930 407,729 -
25 Aug 2021 23.820 24.060 23.650 23.910 348,918 -
24 Aug 2021 24.060 24.410 23.990 24.000 292,267 -
23 Aug 2021 23.900 24.180 23.510 24.070 478,643 -
20 Aug 2021 22.810 23.880 22.810 23.820 730,243 -
19 Aug 2021 22.940 23.480 22.700 22.930 345,204 -
18 Aug 2021 23.160 23.830 23.030 23.210 435,398 -
17 Aug 2021 23.100 23.210 22.590 22.970 362,685 -
16 Aug 2021 23.650 23.700 23.120 23.320 481,632 -
Summary
Current 2 Weeks
(01 Sep 2021 to 15 Sep 2021)
24.570 26.860 24.410 26.350 4,826,640 -
Previous 2 Weeks
(18 Aug 2021 to 31 Aug 2021)
23.160 26.860 23.030 24.560 5,548,039 -
4 Weeks from
(21 Jul 2021 to 17 Aug 2021)
22.290 26.860 21.590 22.970 9,440,858 -
View All Historical Data

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