Resultados financieros en millones de dólares estadounidenses. El ejercicio fiscal es febrero - enero.
Breakdown
TTM
08/31/2024
08/31/2023
08/31/2022
08/31/2021
08/31/2020
Ingresos
14
15
16
15
14
15
Crecimiento de los Ingresos (YoY)
-18%
-6%
7%
7%
-7%
7%
Costo de los ingresos
5
5
4
4
4
4
Utilidad bruta
8
9
11
11
10
10
Venta, General y Administración
0
0
0
0
0
0
Investigación y Desarrollo
--
--
--
--
--
--
Gastos de Operación
0
0
0
0
0
0
Otras Ingresos (Gastos) No Operativos
25
25
--
--
--
--
Ingreso antes de impuestos
34
34
-3
-7
30
-1
Gasto por Impuesto a la Renta
--
--
--
--
--
--
Ingreso Neto
34
34
-3
-7
30
-1
Crecimiento de la Utilidad Neta
209%
-1,233%
-56.99%
-123%
-3,100%
-104%
Acciones en Circulación (Diluidas)
25
25
25.13
25.13
25.13
25.13
Cambio de Acciones (YoY)
0%
-1%
0%
0%
0%
0%
EPS (Diluido)
1.37
1.36
-0.15
-0.29
1.23
-0.06
Crecimiento de EPS
211%
-1,007%
-48%
-124%
-2,150%
-106%
Flujo de efectivo libre
13
18
11
16
10
10
Flujo de efectivo libre por acción
--
--
--
--
--
--
Margen bruto
57.14%
60%
68.75%
73.33%
71.42%
66.66%
Margen de operación
57.14%
53.33%
62.5%
66.66%
64.28%
66.66%
Margen de beneficio
242.85%
226.66%
-18.75%
-46.66%
214.28%
-6.66%
Margen de flujo de caja libre
92.85%
120%
68.75%
106.66%
71.42%
66.66%
EBITDA
--
--
--
--
--
--
Margen de EBITDA
--
--
--
--
--
--
D&A para EBITDA
--
--
--
--
--
--
EBIT
8
8
10
10
9
10
Margen de EBIT
57.14%
53.33%
62.5%
66.66%
64.28%
66.66%
Tasa de Impuesto Efectiva
--
--
--
--
--
--
Estadísticas clave
Cierre Anterior
$8.26
Precio de apertura
$8.27
Rango del día
$8.26 - $8.34
Rango de 52 semanas
$6.71 - $8.26
Volumen
104.9K
Volumen promedio
49.2K
EPS (TTM)
1.36
Rendimiento de dividendos
6.43%
Cap. de mercado
$207.5M
¿Qué es FT?
Franklin Universal Trust is a US-based company operating in industry. The company is headquartered in San Mateo, California. Franklin Universal Trust (the Fund) is a closed-end management investment company. The Fund’s primary investment objective is to provide high, current income consistent with preservation of capital. The Fund’s secondary objective is growth of income through dividend increases and capital appreciation. The Fund invests primarily two asset classes: high-yield bonds and utility stocks. Within the high yield portion of the portfolio, the Fund uses fundamental research to invest in a diversified portfolio of bonds. Within the utility portion of the portfolio, the Fund focuses on companies with attractive dividend yields and with a history of increasing their dividends. The Fund invests in various sectors, including electric utilities; metals & mining; multi-utilities; oil, gas & consumable fuels; pharmaceuticals; aerospace & defense; automobile components; biotechnology; building products, and commercial services & supplies. The Fund’s investment manager is Franklin Advisers, Inc.