DV
Dividend Vision

VIVO — VivoPower PLC

VivoPower PLC (VIVO)

Total return is -95.0% over the past 11.2 years, 434.9 points behind SPY at 339.9%. Its deepest 1-year drawdown was 80.9%.

Based on the available data, VIVO is an equity stock that has been trading since May 2015. However, complete information about its investment strategy, distribution characteristics, and expense ratio is not available in the current dataset. Potential investors should consult additional sources to understand the fund's objective, underlying holdings, dividend policy, and associated costs before making decisions.

VIVO key facts

Asset type
Stock
Asset class
Equity
Inception date
05/27/2015
Last close
$4.87
Market cap
$116,444,280
Average volume
575900.0
Beta
-0.743
Payout ratio
0.0
Forward P/E
0.0
EPS
$-2.17