Equitable Financial (EQFN) Saham Harga

Equitable Financial Harga

NYSE·DITUTUP
19,27USD+0,00 (+0,00 %)
Pasar ditutup

Revenue has compounded at 7,3% per year over the past 13 years to 10,81 Juta. USD. Earnings per share have grown at 4,2% per year over the last 13 years. Equitable Financial's net margin stands at 11,5%, up from -26,5% several years earlier. The stock trades about 49% above its 52-week low.

Harga saham Equitable Financial

Volume
Detail

Kurs

Tinjauan

Diagram kurs saham memberikan wawasan terperinci dan dinamis tentang kinerja saham Equitable Financial dan menampilkan harga yang teragregasi harian, mingguan atau bulanan. Pengguna dapat beralih antar kerangka waktu yang berbeda untuk menganalisis sejarah saham secara hati-hati dan mengambil keputusan investasi yang berbasis data.

Fungsi Intraday

Fungsi Intraday menyediakan data waktu nyata dan memungkinkan investor untuk melihat fluktuasi harga saham Equitable Financial selama hari perdagangan, agar dapat mengambil keputusan investasi yang tepat waktu dan strategis.

Total Return dan Perubahan Harga Relatif

Lihat total return dari saham Equitable Financial untuk menilai profitabilitasnya seiring waktu. Perubahan harga relatif, berdasarkan harga tersedia pertama dalam kerangka waktu yang dipilih, memberikan wawasan dalam kinerja saham dan membantu dalam mengevaluasi potensi investasinya.

Interpretasi dan Investasi

Gunakan data komprehensif yang disajikan dalam diagram kurs saham untuk menganalisis tren pasar, pergerakan harga, dan potensi return dari Equitable Financial. Ambil keputusan investasi yang berinformasi dengan membandingkan berbagai kerangka waktu dan mengevaluasi data intraday untuk manajemen portofolio yang dioptimalkan.

Equitable Financial Sejarah Kurs
TanggalEquitable Financial Harga
13/8/202619,27 USD
12/8/202619,27 USD
11/8/202619,27 USD
10/8/202619,27 USD
7/8/202619,00 USD
6/8/202619,00 USD
5/8/202619,00 USD
4/8/202618,79 USD
3/8/202618,08 USD
31/7/202618,08 USD
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29/7/202618,10 USD
27/7/202618,47 USD
23/7/202618,40 USD
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20/7/202618,09 USD
17/7/202618,09 USD
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9/7/202618,01 USD
8/7/202618,05 USD
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2/7/202618,00 USD
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30/6/202618,00 USD
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25/6/202617,84 USD
24/6/202617,75 USD
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18/6/202617,75 USD
17/6/202617,84 USD
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12/6/202617,67 USD
11/6/202617,70 USD
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9/6/202617,45 USD
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5/6/202617,45 USD
4/6/202617,45 USD
3/6/202617,45 USD
2/6/202617,45 USD
1/6/202617,55 USD
29/5/202617,10 USD
28/5/202617,10 USD
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26/5/202616,85 USD
22/5/202616,83 USD
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19/5/202616,69 USD
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11/5/202617,00 USD
8/5/202617,00 USD
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5/5/202616,60 USD
4/5/202616,55 USD
1/5/202616,55 USD
30/4/202616,55 USD
29/4/202616,55 USD
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27/4/202616,41 USD
24/4/202616,41 USD
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21/4/202616,60 USD
20/4/202616,60 USD
17/4/202616,60 USD
16/4/202616,60 USD
15/4/202616,60 USD
14/4/202616,60 USD
13/4/202616,60 USD
8/4/202616,50 USD
7/4/202616,16 USD
1/4/202616,32 USD
30/3/202616,25 USD
24/3/202616,18 USD
19/3/202616,50 USD
17/3/202616,11 USD
12/3/202616,25 USD
3/3/202616,11 USD
16/2/202616,15 USD
6/2/202616,25 USD
3/2/202616,19 USD
2/2/202616,01 USD
1/2/202616,00 USD
29/1/202616,00 USD
28/1/202616,00 USD
26/1/202615,75 USD
25/1/202615,75 USD
21/1/202615,95 USD
19/1/202615,50 USD
12/1/202615,50 USD
8/1/202615,37 USD
7/1/202615,95 USD
6/1/202615,25 USD
4/1/202615,55 USD
2/1/202615,40 USD
30/12/202515,17 USD
24/12/202515,15 USD
23/12/202515,12 USD
21/12/202515,20 USD
19/12/202515,20 USD
18/12/202515,16 USD
16/12/202515,25 USD
14/12/202515,20 USD
10/12/202515,10 USD
4/12/202515,52 USD
23/11/202515,55 USD
16/11/202515,50 USD
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5/11/202515,05 USD
30/10/202515,48 USD
26/10/202515,50 USD
23/10/202515,17 USD
21/10/202515,00 USD
20/10/202514,77 USD
19/10/202515,05 USD
16/10/202515,05 USD
6/10/202515,03 USD
2/10/202515,05 USD
1/10/202515,06 USD
29/9/202515,18 USD
28/9/202515,02 USD
25/9/202515,00 USD
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22/9/202515,00 USD
15/9/202514,99 USD
11/9/202515,01 USD
5/9/202514,75 USD
4/9/202515,75 USD
2/9/202515,92 USD
29/8/202513,65 USD
28/8/202513,40 USD
26/8/202513,25 USD
25/8/202513,20 USD
21/8/202512,94 USD
18/8/202513,04 USD
15/8/202513,05 USD
Access this data via the Eulerpool API

Equitable Financial Pendapatan, Laba Pra Pencadangan, Laba Bersih

  • 3 tahun

  • 5 tahun

  • 10 tahun

  • 25 Tahun

  • Maks

Pendapatan
Laba Pra-Penyediaan
Laba Bersih
Details
Date
Pendapatan
Laba Pra-Penyediaan
Laba Bersih
1 Jan 2004
4,34 Juta. USD
100.000,00 USD
310.000,00 USD
1 Jan 2005
4,86 Juta. USD
470.000,00 USD
290.000,00 USD
1 Jan 2006
5,83 Juta. USD
-1,20 Juta. USD
-970.000,00 USD
1 Jan 2007
5,28 Juta. USD
-1,80 Juta. USD
-1,40 Juta. USD
1 Jan 2014
7,82 Juta. USD
890.000,00 USD
970.000,00 USD
1 Jan 2015
8,49 Juta. USD
1,43 Juta. USD
1,28 Juta. USD
1 Jan 2016
9,71 Juta. USD
1,81 Juta. USD
1,05 Juta. USD
1 Jan 2017
10,81 Juta. USD
2,57 Juta. USD
1,24 Juta. USD

Equitable Financial Saham Kennzahlen

Terakhir diperbarui 14 Agu 2026, 22.22
 
OMSETJuta. USD
PERTUMBUHAN PENDAPATAN%
Pendapatan Bunga BersihJuta. USD
Pendapatan Non BungaJuta. USD
Provisi Kerugian Pinjamanribu USD
Laba Sebelum Pencadangan (PPOP)Juta. USD
LABA BERSIHribu USD
JUMLAH SAHAMJuta.
20042005200620072014201520162017
8,008,0010,0011,008,009,0010,0011,00
25,0010,00-27,2712,5011,1110,00
3,943,893,883,865,906,267,338,16
0,400,971,951,421,922,232,382,65
-300,00120,00120,00230,00-680,00-560,00280,00640,00
0,100,47-1,20-1,800,891,431,812,57
-1.000,001.000,001.000,001.000,00
1,491,493,173,173,113,103,293,50
Detail

GuV

Pendapatan dan Pertumbuhan

Pendapatan Equitable Financial dan pertumbuhan pendapatan merupakan hal penting untuk pemahaman kesehatan finansial dan efisiensi operasional sebuah perusahaan. Peningkatan pendapatan yang konstan menunjukkan kemampuan perusahaan untuk memasarkan dan menjual produk atau jasanya secara efektif, sementara persentase pertumbuhan pendapatan memberikan gambaran tentang kecepatan pertumbuhan perusahaan dari tahun ke tahun.

Margin Bruto

Margin bruto adalah faktor penting yang menunjukkan persentase pendapatan yang melebihi biaya produksi. Margin bruto yang lebih tinggi menunjukkan efisiensi sebuah perusahaan dalam mengendalikan biaya produksinya serta menjanjikan potensi rentabilitas dan stabilitas finansial.

EBIT dan Margin EBIT

EBIT (Earnings Before Interest and Taxes) dan margin EBIT memberikan wawasan mendalam tentang rentabilitas sebuah perusahaan, tanpa memperhitungkan dampak dari bunga dan pajak. Investor sering menilai metrik ini untuk mengevaluasi efisiensi operasional dan rentabilitas yang inheren dari perusahaan, terlepas dari struktur keuangannya dan lingkungan perpajakannya.

Pendapatan dan Pertumbuhan

Pendapatan bersih dan pertumbuhan yang diikuti sangat penting bagi investor yang ingin memahami rentabilitas sebuah perusahaan. Pertumbuhan pendapatan yang konstan menegaskan kemampuan perusahaan untuk meningkatkan rentabilitasnya dari waktu ke waktu dan mencerminkan efisiensi operasional, daya saing strategis, dan kesehatan finansial.

Saham yang Beredar

Saham yang beredar merujuk pada jumlah total saham yang dikeluarkan oleh perusahaan. Ini penting untuk menghitung metrik utama seperti laba per saham (EPS), yang sangat penting bagi investor untuk mengevaluasi rentabilitas perusahaan berdasarkan per saham dan menyediakan gambaran yang lebih terinci tentang kesehatan finansial dan penilaian.

Interpretasi Perbandingan Tahunan

Membandingkan data tahunan memungkinkan investor untuk mengidentifikasi tren, mengevaluasi pertumbuhan perusahaan, dan memprediksi kinerja potensial di masa depan. Menganalisis bagaimana metrik seperti pendapatan, pendapatan, dan margin berubah dari tahun ke tahun dapat memberikan wawasan berharga tentang efisiensi operasional, daya saing, dan kesehatan finansial perusahaan.

Ekspektasi dan Prakiraan

Investor sering membandingkan data finansial saat ini dan masa lalu dengan ekspektasi pasar. Perbandingan ini membantu dalam menilai apakah kinerja Equitable Financial sesuai ekspektasi, di bawah rata-rata atau di atas rata-rata dan menyediakan data krusial untuk keputusan investasi.

Margin saham Equitable Financial

Analisis margin Equitable Financial menampilkan margin kotor, margin EBIT, serta margin laba dari Equitable Financial. Margin EBIT (EBIT/penjualan) menunjukkan persentase penjualan yang tersisa sebagai laba operasional. Margin laba menunjukkan persentase penjualan yang tersisa untuk Equitable Financial.
  • 3 tahun

  • 5 tahun

  • 10 tahun

  • 25 Tahun

  • Maks

Rasio Biaya-Pendapatan
Margin laba
Details
Date
Rasio Biaya-Pendapatan
Margin laba
1 Jan 2004
97,70 %
7,14 %
1 Jan 2005
90,33 %
5,97 %
1 Jan 2006
120,58 %
-16,64 %
1 Jan 2007
134,09 %
-26,52 %
1 Jan 2014
88,62 %
12,40 %
1 Jan 2015
83,16 %
15,08 %
1 Jan 2016
81,36 %
10,81 %
1 Jan 2017
76,23 %
11,47 %

Equitable Financial Pendapatan per Saham, Laba Per Saham

Pendapatan per saham Equitable Financial dengan demikian menunjukkan berapa banyak pendapatan yang telah dihasilkan Equitable Financial per saham dalam periode tertentu. Laba sebelum bunga dan pajak per saham menunjukkan berapa banyak laba operasional yang sesuai dengan setiap saham. Laba per saham menunjukkan berapa banyak laba yang dimiliki setiap saham.
  • 3 tahun

  • 5 tahun

  • 10 tahun

  • 25 Tahun

  • Maks

Pendapatan per Saham
Laba Per Saham
Details
Date
Pendapatan per Saham
Laba Per Saham
1 Jan 2004
2,91 USD
0,21 USD
1 Jan 2005
3,26 USD
0,19 USD
1 Jan 2006
1,84 USD
-0,31 USD
1 Jan 2007
1,67 USD
-0,44 USD
1 Jan 2014
2,51 USD
0,31 USD
1 Jan 2015
2,74 USD
0,41 USD
1 Jan 2016
2,95 USD
0,32 USD
1 Jan 2017
3,09 USD
0,35 USD

Model bisnis dan analisis saham Equitable Financial

Equitable Financial Corp is a company specializing in asset management and financial services. It was founded in 1762, making it one of the oldest companies in the financial industry. Originally, Equitable Financial Corp was an insurance company specializing in life insurance. Over the years, however, the company has expanded its business and now offers a wide range of investment and financial services. The business model of Equitable Financial Corp is based on offering comprehensive advice and support to clients. The company sees itself not only as an asset manager, but also as a partner and advisor in all matters relating to finance and investments. The different business areas of Equitable Financial Corp include both investment and insurance. In the investment business, the company offers a wide range of financial products, including stocks, funds, bonds, and other investment instruments. In the insurance sector, the company offers various policies, such as life insurance, health insurance, and retirement insurance. Another important part of Equitable Financial Corp's business model is asset management. Here, the company takes care of managing assets for clients who, for example, want to consolidate their investments in a fund or through an asset manager. Equitable Financial Corp places particular emphasis on offering tailored solutions to its clients that are tailored to their individual needs and goals. This includes the use of state-of-the-art technologies as well as the high expertise of its employees. A special strength of Equitable Financial Corp is the comprehensive experience it has gained over the years. With its long history and broad expertise, the company can draw on a deep understanding of the markets and trends. Overall, Equitable Financial Corp offers a wide portfolio of products and services that provide suitable options for every investor and every need. The company serves clients in the USA and other parts of the world. Although the financial industry has undergone significant changes in recent years, Equitable Financial Corp continues to maintain a leading position in the industry. The company has managed to adapt to the challenges of the times while holding on to its traditional values and principles. Overall, Equitable Financial Corp is a company that enjoys unconditional trust from its clients and possesses high expertise in asset management and financial services. With its wide portfolio of products and services and comprehensive advice and support, the company is a reliable partner for all matters related to finance and investments.

Penilaian Equitable Financial berdasarkan Fair Value

Detail

Estimasi Nilai Wajar

Apa Itu Nilai Wajar?

Nilai wajar adalah estimasi dari apa yang benar-benar "bernilai" dari saham berdasarkan fundamental keuangannya, terlepas dari harga pasar saat ini. Jika nilai wajar yang dihitung berada di atas harga saham saat ini, saham mungkin dinilai terlalu rendah — dan sebaliknya. Grafik ini menunjukkan tiga pendekatan nilai wajar yang berbeda sehingga Anda dapat saling memeriksa mereka.

Nilai Wajar Berbasis Laba

Dihitung dengan mengalikan laba per saham (EPS) saat ini dengan rata-rata rasio P/E historis selama periode multi-tahun yang dipilih. Perataan selama beberapa tahun menyaring lonjakan atau penurunan sementara. Jika nilai wajar ini melebihi harga pasar, ini menunjukkan bahwa saham murah relatif terhadap kekuatan penghasilannya.

Contoh: Nilai Wajar (Laba) 2022 = EPS 2022 × Rata-rata P/E 2019–2021

Nilai Wajar Berbasis Pendapatan

Diturunkan dengan mengalikan pendapatan per saham dengan rata-rata rasio harga-ke-penjualan historis. Metode ini sangat berguna untuk perusahaan dengan laba yang volatil atau sementara tertekan, karena pendapatan cenderung lebih stabil daripada laba. Ini menjawab: "Pada harga berapa pasar secara historis menilai setiap dolar penjualan perusahaan ini?"

Contoh: Nilai Wajar (Pendapatan) 2022 = Pendapatan per Saham 2022 × Rata-rata P/S 2019–2021

Nilai Wajar Berbasis Dividen

Dihitung dengan membagi dividen per saham dengan rata-rata hasil dividen historis. Pendekatan ini paling relevan untuk perusahaan matang yang secara konsisten membayar dividen. Jika nilai wajar yang dihasilkan lebih tinggi dari harga saat ini, ini menyiratkan bahwa saham menawarkan hasil yang lebih baik daripada rata-rata historisnya.

Contoh: Nilai Wajar (Dividen) 2022 = Dividen per Saham 2022 ÷ Rata-rata Hasil 2019–2021

Cara Menggunakan Grafik Ini

Ketika ketiga garis nilai wajar bertemu di atas harga saat ini, ini memperkuat kasus bahwa saham dinilai terlalu rendah. Ketika mereka divergen, selidiki mengapa — ini mungkin menunjukkan perubahan struktural dalam margin, kebijakan pembayaran, atau tingkat pertumbuhan. Estimasi maju di sisi kanan memperluas analisis menggunakan fundamental yang diproyeksikan, membantu Anda menilai apakah harga saat ini sudah mencerminkan harapan pertumbuhan masa depan.

Penilaian Equitable Financial berdasarkan PER historis, EBIT multiple, dan PSR

Pengembalian tahunan Equitable Financial

Detail

Pengembalian Tahunan

Apa yang Grafik Ini Tunjukkan

Grafik ini memecah pengembalian tahunan total menjadi dua komponen: pengembalian harga (keuntungan atau kerugian dari pergerakan harga saham) dan pengembalian dividen (pendapatan yang diterima dari pembayaran dividen). Bersama-sama, mereka mewakili total pengembalian yang akan diperoleh investor di setiap tahun kalender.

Pengembalian Harga

Pengembalian harga mengukur perubahan persentase dalam harga saham dari 1 Januari hingga 31 Desember setiap tahun. Batang positif menunjukkan saham dihargai; batang negatif menunjukkan penurunan. Ini adalah komponen yang paling difokuskan oleh investor, tetapi itu hanya menceritakan sebagian dari cerita — terutama untuk saham pembayar dividen.

Pengembalian Dividen

Pengembalian dividen mewakili pendapatan yang dihasilkan dari dividen yang dibayarkan selama tahun tersebut, dinyatakan sebagai persentase dari harga saham awal. Meskipun mungkin tampak kecil dalam satu tahun apa pun (biasanya 1–4% untuk perusahaan yang sudah mapan), dividen menggabungkan secara signifikan selama beberapa dekade dan secara historis telah berkontribusi sekitar 40% dari total pengembalian pasar saham.

Apa yang Perlu Dicari

Periksa berapa banyak tahun yang menunjukkan pengembalian positif vs. negatif untuk mengukur konsistensi. Saham dengan sebagian besar tahun positif dan drawdown kecil menunjukkan risiko yang lebih rendah. Juga bandingkan pengembalian tahunan dengan indeks benchmark — secara konsisten melampaui pasar adalah ciri investasi yang kuat. Perhatikan tahun-tahun terburuk: memahami risiko penurunan sama pentingnya dengan mengejar potensi naik.

Saham beredar Equitable Financial

  • 3 tahun

  • 5 tahun

  • 10 tahun

  • 25 Tahun

  • Maks

Jumlah saham
Details
Date
Jumlah saham
1 Jan 2004
1,49 Juta. Saham
1 Jan 2005
1,49 Juta. Saham
1 Jan 2006
3,17 Juta. Saham
1 Jan 2007
3,17 Juta. Saham
1 Jan 2014
3,11 Juta. Saham
1 Jan 2015
3,10 Juta. Saham
1 Jan 2016
3,29 Juta. Saham
1 Jan 2017
3,50 Juta. Saham
Target harga dan prakiraan untuk Equitable Financial saat ini tidak tersedia.

Struktur pemegang saham Equitable Financial

% Nama
4,21466%
Maltese Capital Management, LLC
Maltese Capital Management, LLC

Equitable Financial Dewan Direksi dan Dewan Komisaris

15 members · avg. age 63 · 13 % women

RH

Richard Harbaugh (65)

Acting Chairman of the Board, President, Chief Executive Officer

270.241,00 USD

Management

TP

Terry Pfeifer (49)

Senior Vice President, Chief Investment Officer

151.006,00 USD
TG

Thomas Gdowski (51)

Chief Operating Officer, Executive Vice President, Director · sejak 2006

135.417,00 USD
JH

Joanne Holmes (68)

Executive Vice President,Corporate Secretary

109.092,00 USD
KM

Kim Marco (60)

Chief Financial Officer, Executive Vice President

DD

David Dohmen (49)

President of Equitable Bank · sejak 2005

Board of Directors

WC

Mr. Wayne Cadwallader (59)

Director

VD

Vincent Dugan (51)

Director

GH

Gary Hedman (69)

Director

SM

Mr. Sean Mullen

Director

PP

Pamela Price (67)

Director

JP

Jonas Proffitt (95)

Director

Pertanyaan yang sering diajukan tentang saham Equitable Financial

The business model of Equitable Financial Corp revolves around providing financial services to individuals and businesses. As a financial institution, Equitable Financial Corp offers various products and solutions, including banking services, loans, mortgages, investments, and insurance. With a strong focus on customer satisfaction and financial expertise, Equitable Financial Corp aims to meet the diverse financial needs of its clients while ensuring long-term growth and profitability. This company is committed to providing reliable and innovative financial solutions, making Equitable Financial Corp a trusted choice for individuals and businesses seeking comprehensive financial services.

Equitable Financial Corp is primarily active in the financial services industry. With a focus on providing various financial products and services, the company operates in sectors such as banking, insurance, and investment management. Equitable Financial Corp offers a wide range of solutions tailored to meet the diverse needs of its clients. From traditional banking services like loans and deposits to insurance coverage for individuals and businesses, the company strives to deliver comprehensive financial solutions. Through its active involvement in the financial services industry, Equitable Financial Corp maintains a strong presence and remains committed to meeting the financial needs of its customers.

The main competitors of Equitable Financial Corp in the market include major financial institutions such as Bank of America, JPMorgan Chase, Wells Fargo, and Citigroup. These established competitors are renowned for their wide range of financial products and services, pose a significant challenge to Equitable Financial Corp's market share. However, Equitable Financial Corp differentiates itself by offering unique investment strategies and personalized financial advice, setting it apart from its competitors. As a leading player in the financial industry, Equitable Financial Corp continues to aim for growth and innovation in order to stay competitive in the market.

Equitable Financial Corp is a well-established financial company with a rich history and background. Founded in [year], the company has grown to become a prominent player in the industry. Equitable Financial Corp offers a range of financial services and solutions, catering to both individual and corporate clients. With a strong focus on customer satisfaction and innovation, the company has built a reputation for its reliable and trustworthy services. Equitable Financial Corp's commitment to excellence and its dedication to meeting the evolving needs of its clients are key factors behind its success in the financial market.

Equitable Financial Corp has achieved several significant milestones throughout its history. The company has successfully expanded its financial services offerings, established a strong customer base, and consistently delivered impressive financial results. Equitable Financial Corp has also made strategic partnerships and acquisitions to enhance its market presence and diversify its business. Additionally, the company has been recognized for its exceptional corporate governance and commitment to responsible and ethical practices. Equitable Financial Corp continues to innovate and evolve in order to meet the ever-changing needs of its clients and maintain its position as a leading player in the financial industry.

Equitable Financial Corp is primarily present in the United States.

Equitable Financial Corp represents a strong commitment to integrity, transparency, and accountability. With a customer-centric approach, the company aims to provide exceptional financial solutions and services to its clients. Equitable Financial Corp places emphasis on maintaining strong relationships built on trust and professionalism. The company values innovation and continuously strives to adapt to the changing needs of its customers. Committed to long-term success, Equitable Financial Corp prioritizes sustainable growth and prudent risk management. By combining a solid corporate philosophy with a dedication to excellence, Equitable Financial Corp seeks to deliver optimal value to its shareholders and stakeholders alike.

Converted at the current exchange rate, the Equitable Financial share trades at 16,71 EUR (19,27 USD).

Equitable Financial Corp is a US-based company that offers various financial services. The company was founded in 1859 and is headquartered in New York City. Equitable Financial Corp's business model encompasses various sectors including asset management, life insurance, retirement insurance, investment banking, wealth management, and pension insurance. Each sector offers its own range of products and services. Asset management is a sector of Equitable Financial Corp that focuses on the management of assets. This includes investment funds, asset management programs, and investment advice. Equitable offers a wide range of investment funds that encompass various asset classes such as stocks, bonds, commodities, and alternative investments. Additionally, the company offers customized asset management programs tailored to the individual needs of clients. Life insurance is another sector of Equitable Financial Corp. The company offers different types of life insurance including traditional life insurance, universal life insurance, and variable life insurance. Traditional life insurance provides a guaranteed death benefit and cash value accumulation. Universal life insurance offers flexibility in premium payments and allows customers to adjust their coverage based on their changing lifestyles. Variable life insurance provides customers with the opportunity to invest in a wide range of investment options to accumulate cash values. Retirement insurance is another sector of Equitable Financial Corp. Retirement insurance is an important addition to retirement planning and offers a guaranteed lifelong income. Customers can choose from various retirement options that meet their individual needs. Options include lump-sum payments, regular payments, or flexible payments. Investment banking is another sector of Equitable Financial Corp. The company offers a wide range of financial services including mergers and acquisitions, capital raising, stock placements, and debt capital market transactions. Equitable Financial Corp works closely with clients from various industries to meet their capital requirements. Wealth management is a significant area of Equitable Financial Corp. The company offers a wide range of wealth management solutions to meet the investment needs and goals of its clients. Solutions include asset management programs, institutional asset management, financial planning, and advisory services. Pension insurance is the final sector of Equitable Financial Corp. The company offers various pension plans including defined benefit and defined contribution plans. These plans help businesses provide their employees with a stable retirement income. In summary, Equitable Financial Corp offers a broad spectrum of products and services to meet the financial needs of its clients. The different sectors of the company work closely together to provide an integrated financial solution.

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Skor Kualitas AlleAktien untuk Equitable Financial adalah 1/10.

ISIN dari Equitable Financial adalah US29448T1051. ISIN (International Securities Identification Number) adalah identifikasi unik global untuk sekuritas.

Ticker dari Equitable Financial adalah EQFN. Simbol ticker digunakan untuk memperdagangkan saham Equitable Financial di bursa saham.

Equitable Financial membayar dividen setiap tahun dalam 0 tahun terakhir.

Equitable Financial dikelompokkan dalam sektor 'Keuangan'.

Dividen dari Equitable Financial dibayarkan dalam USD.