Vinci Compass Investments Ltd. (VINP)

Last Closing Price: 10.03 (2025-09-12)

Profile
Ticker
VINP
Security Name
Vinci Compass Investments Ltd.
Exchange
NASDAQ
Sector
Financial Services
Industry
Asset Management
Free Float
32,465,000
Market Capitalization
643,030,000
Average Volume (Last 20 Days)
36,596
Beta (Past 60 Months)
0.10
Percentage Held By Insiders (Latest Annual Proxy Report)
49.31
Percentage Held By Institutions (Latest 13F Reports)
34.07
Recent Price/Volume
Closing Price
10.03
Opening Price
9.78
High Price
10.04
Low Price
9.78
Volume
28,600
Previous Closing Price
10.04
Previous Opening Price
9.76
Previous High Price
10.09
Previous Low Price
9.75
Previous Volume
40,000
High/Low Price
52-Week High Price
10.52
26-Week High Price
10.52
13-Week High Price
10.25
4-Week High Price
10.18
2-Week High Price
10.18
1-Week High Price
10.13
52-Week Low Price
8.40
26-Week Low Price
8.40
13-Week Low Price
9.06
4-Week Low Price
9.54
2-Week Low Price
9.75
1-Week Low Price
9.75
High/Low Volume
52-Week High Volume
432,000
26-Week High Volume
174,000
13-Week High Volume
136,000
4-Week High Volume
73,600
2-Week High Volume
73,600
1-Week High Volume
73,600
52-Week Low Volume
12,000
26-Week Low Volume
12,000
13-Week Low Volume
12,000
4-Week Low Volume
12,000
2-Week Low Volume
12,000
1-Week Low Volume
27,700
Money Flow
Total Money Flow, Past 52 Weeks
160,114,817
Total Money Flow, Past 26 Weeks
70,687,476
Total Money Flow, Past 13 Weeks
28,663,782
Total Money Flow, Past 4 Weeks
7,281,427
Total Money Flow, Past 2 Weeks
2,813,858
Total Money Flow, Past Week
1,988,194
Total Money Flow, 1 Day
284,570
Total Volume
Total Volume, Past 52 Weeks
16,721,400
Total Volume, Past 26 Weeks
7,386,400
Total Volume, Past 13 Weeks
2,977,300
Total Volume, Past 4 Weeks
731,400
Total Volume, Past 2 Weeks
282,000
Total Volume, Past Week
199,600
Percent Change in Price
Percent Change in Price, Past 52 Weeks
5.84
Percent Change in Price, Past 26 Weeks
7.33
Percent Change in Price, Past 13 Weeks
8.30
Percent Change in Price, Past 4 Weeks
0.21
Percent Change in Price, Past 2 Weeks
-0.30
Percent Change in Price, Past Week
-1.18
Percent Change in Price, 1 Day
-0.10
New High/Low in Price
Reached New 52-Week High Price
False
Reached New 26-Week High Price
False
Reached New 13-Week High Price
False
Reached New 4-Week High Price
False
Reached New 2-Week High Price
False
Reached New 1-Week High Price
False
Reached New 52-Week Low Price
False
Reached New 26-Week Low Price
False
Reached New 13-Week Low Price
False
Reached New 4-Week Low Price
False
Reached New 2-Week Low Price
False
Reached New 1-Week Low Price
False
Consecutive Days/Weeks of Increasing/Decreasing Price
Consecutive Days of Increasing Price
0
Consecutive Weeks of Increasing Price
0
Consecutive Days of Decreasing Price
1
Consecutive Weeks of Decreasing Price
1
Consecutive Days/Weeks of Increasing/Decreasing Volume
Consecutive Days of Increasing Volume
0
Consecutive Weeks of Increasing Volume
1
Consecutive Days of Decreasing Volume
2
Consecutive Weeks of Decreasing Volume
0
New High/Low in Volume
Had New 52-Week High Volume
False
Had New 26-Week High Volume
False
Had New 13-Week High Volume
False
Had New 4-Week High Volume
False
Had New 2-Week High Volume
False
Had New 1-Week High Volume
False
Had New 52-Week Low Volume
False
Had New 26-Week Low Volume
False
Had New 13-Week Low Volume
False
Had New 4-Week Low Volume
False
Had New 2-Week Low Volume
False
Had New 1-Week Low Volume
False
Moving Averages
Simple Moving Average (5-Day)
10.00
Simple Moving Average (10-Day)
10.02
Simple Moving Average (20-Day)
9.97
Simple Moving Average (50-Day)
9.71
Simple Moving Average (100-Day)
9.60
Simple Moving Average (200-Day)
9.61
Previous Simple Moving Average (5-Day)
10.03
Previous Simple Moving Average (10-Day)
10.02
Previous Simple Moving Average (20-Day)
9.98
Previous Simple Moving Average (50-Day)
9.70
Previous Simple Moving Average (100-Day)
9.59
Previous Simple Moving Average (200-Day)
9.61
Technical Indicators
MACD (12, 26, 9)
0.09
MACD (12, 26, 9) Signal
0.10
Previous MACD (12, 26, 9)
0.10
Previous MACD (12, 26, 9) Signal
0.11
RSI (14-Day)
55.27
Previous RSI (14-Day)
55.67
Stochastic (14, 3, 3) %K
68.42
Stochastic (14, 3, 3) %D
67.81
Previous Stochastic (14, 3, 3) %K
66.33
Previous Stochastic (14, 3, 3) %D
71.18
Upper Bollinger Band (20, 2)
10.23
Lower Bollinger Band (20, 2)
9.71
Previous Upper Bollinger Band (20, 2)
10.25
Previous Lower Bollinger Band (20, 2)
9.70
Income Statement Financials
Quarterly Revenue (MRQ)
42,549,700
Quarterly Net Income (MRQ)
11,931,400
Previous Quarterly Revenue (QoQ)
40,066,900
Previous Quarterly Revenue (YoY)
25,143,300
Previous Quarterly Net Income (QoQ)
9,650,000
Previous Quarterly Net Income (YoY)
5,540,900
Revenue (MRY)
111,384,400
Net Income (MRY)
21,914,700
Previous Annual Revenue
91,020,300
Previous Net Income
44,187,800
Cost of Goods Sold (MRY)
Gross Profit (MRY)
111,384,400
Operating Expenses (MRY)
76,380,200
Operating Income (MRY)
35,004,300
Non-Operating Income/Expense (MRY)
-4,978,700
Pre-Tax Income (MRY)
30,025,500
Normalized Pre-Tax Income (MRY)
30,025,500
Income after Taxes (MRY)
21,501,400
Income from Continuous Operations (MRY)
21,501,400
Consolidated Net Income/Loss (MRY)
21,501,400
Normalized Income after Taxes (MRY)
21,501,400
EBIT (MRY)
35,004,300
EBITDA (MRY)
40,325,400
Balance Sheet Financials
Current Assets (MRQ)
335,104,300
Property, Plant, and Equipment (MRQ)
11,520,900
Long-Term Assets (MRQ)
268,866,300
Total Assets (MRQ)
603,970,600
Current Liabilities (MRQ)
42,746,200
Long-Term Debt (MRQ)
147,068,300
Long-Term Liabilities (MRQ)
228,884,000
Total Liabilities (MRQ)
271,630,200
Common Equity (MRQ)
332,340,500
Tangible Shareholders Equity (MRQ)
146,644,000
Shareholders Equity (MRQ)
332,340,500
Common Shares Outstanding (MRQ)
68,697,000
Cash Flow Statement Financials
Cash Flow from Operating Activities (MRY)
38,891,500
Cash Flow from Investing Activities (MRY)
-43,037,800
Cash Flow from Financial Activities (MRY)
-79,579,200
Beginning Cash (MRY)
122,420,500
End Cash (MRY)
41,400,200
Increase/Decrease in Cash (MRY)
-81,020,400
Fundamental Ratios
PE Ratio (Current Year Earnings Estimate)
PE Ratio (Trailing 12 Months)
13.94
PEG Ratio (Long Term Growth Estimate)
Price to Sales Ratio (Trailing 12 Months)
4.42
Price to Book Ratio (Most Recent Quarterly Book Value per Share)
1.93
Price to Cash Ratio (Most Recent Annual Cash Flow per Share)
12.99
Pre-Tax Margin (Trailing 12 Months)
25.07
Net Margin (Trailing 12 Months)
20.11
Return on Equity (Trailing 12 Months)
14.21
Return on Assets (Trailing 12 Months)
7.74
Current Ratio (Most Recent Fiscal Quarter)
7.84
Quick Ratio (Most Recent Fiscal Quarter)
7.84
Debt to Common Equity (Most Recent Fiscal Quarter)
0.44
Inventory Turnover (Trailing 12 Months)
Book Value per Share (Most Recent Fiscal Quarter)
5.62
Earnings
Fiscal Period End, Next Quarterly Earnings Report
2025-09-30
Quarterly Earnings per Share Estimate
Next Expected Quarterly Earnings Report Date
2025-11-06
Days Until Next Expected Quarterly Earnings Report
54
Fiscal Period End, Last Quarterly Earnings Report
2025-06-30
Last Quarterly Earnings per Share Estimate
Last Quarterly Earnings per Share
0.21
Last Quarterly Earnings Report Date
2025-08-12
Days Since Last Quarterly Earnings Report
32
Earnings per Share (Most Recent Fiscal Year)
0.78
Diluted Earnings per Share (Trailing 12 Months)
0.47
Dividends
Last Dividend Date
2025-08-25
Last Dividend Amount
0.15
Days Since Last Dividend
19
Annual Dividend (Based on Last Quarter)
0.60
Dividend Yield (Based on Last Quarter)
5.98
Percent Growth in Revenue/Net Income
Percent Growth in Quarterly Revenue (QoQ)
6.20
Percent Growth in Quarterly Revenue (YoY)
69.23
Percent Growth in Annual Revenue
22.37
Percent Growth in Quarterly Net Income (QoQ)
23.64
Percent Growth in Quarterly Net Income (YoY)
115.33
Percent Growth in Annual Net Income
-50.41
New High/Low in Revenue/Net Income
New 5-Year High Annual Revenue
True
New 5-Year Low Annual Revenue
False
New 5-Year High Quarterly Revenue (QoQ)
False
New 5-Year Low Quarterly Revenue (QoQ)
False
New 5-Year High Quarterly Revenue (YoY)
True
New 5-Year Low Quarterly Revenue (YoY)
False
New 5-Year High Annual Net Income
False
New 5-Year Low Annual Net Income
True
New 5-Year High Quarterly Net Income (QoQ)
False
New 5-Year Low Quarterly Net Income (QoQ)
False
New 5-Year High Quarterly Net Income (YoY)
False
New 5-Year Low Quarterly Net Income (YoY)
False
Consecutive Quarters/Years of Increasing/Decreasing Revenue/Net Income
Consecutive Quarters of Increasing Revenue (QoQ)
1
Consecutive Quarters of Decreasing Revenue (QoQ)
0
Consecutive Quarters of Increasing Revenue (YoY)
3
Consecutive Quarters of Decreasing Revenue (YoY)
0
Consecutive Years of Increasing Revenue
2
Consecutive Years of Decreasing Revenue
0
Consecutive Quarters of Increasing Net Income (QoQ)
2
Consecutive Quarters of Decreasing Net Income (QoQ)
0
Consecutive Quarters of Increasing Net Income (YoY)
2
Consecutive Quarters of Decreasing Net Income (YoY)
0
Consecutive Years of Increasing Net Income
0
Consecutive Years of Decreasing Net Income
1
Splits
Last Split Date (if within past year)
Last Split Ratio (if within past year)
Days Since Last Split (if within past year)
Volatility Metrics
Historical Volatility (Close-to-Close) (10-Day)
0.1632
Historical Volatility (Close-to-Close) (20-Day)
0.1332
Historical Volatility (Close-to-Close) (30-Day)
0.2223
Historical Volatility (Close-to-Close) (60-Day)
0.2365
Historical Volatility (Close-to-Close) (90-Day)
0.2302
Historical Volatility (Close-to-Close) (120-Day)
0.2174
Historical Volatility (Close-to-Close) (150-Day)
0.2068
Historical Volatility (Close-to-Close) (180-Day)
0.2796
Historical Volatility (Parkinson) (10-Day)
0.2325
Historical Volatility (Parkinson) (20-Day)
0.2400
Historical Volatility (Parkinson) (30-Day)
0.3076
Historical Volatility (Parkinson) (60-Day)
0.3126
Historical Volatility (Parkinson) (90-Day)
0.2974
Historical Volatility (Parkinson) (120-Day)
0.2844
Historical Volatility (Parkinson) (150-Day)
0.2884
Historical Volatility (Parkinson) (180-Day)
0.3301
Implied Volatility (Calls) (10-Day)
0.8978
Implied Volatility (Calls) (20-Day)
0.7661
Implied Volatility (Calls) (30-Day)
0.6343
Implied Volatility (Calls) (60-Day)
0.7216
Implied Volatility (Calls) (90-Day)
0.7739
Implied Volatility (Calls) (120-Day)
0.7606
Implied Volatility (Calls) (150-Day)
0.7469
Implied Volatility (Calls) (180-Day)
0.7424
Implied Volatility (Puts) (10-Day)
0.8815
Implied Volatility (Puts) (20-Day)
0.7699
Implied Volatility (Puts) (30-Day)
0.6583
Implied Volatility (Puts) (60-Day)
0.7189
Implied Volatility (Puts) (90-Day)
0.7637
Implied Volatility (Puts) (120-Day)
0.7609
Implied Volatility (Puts) (150-Day)
0.7587
Implied Volatility (Puts) (180-Day)
0.7571
Implied Volatility (Mean) (10-Day)
0.8897
Implied Volatility (Mean) (20-Day)
0.7680
Implied Volatility (Mean) (30-Day)
0.6463
Implied Volatility (Mean) (60-Day)
0.7202
Implied Volatility (Mean) (90-Day)
0.7688
Implied Volatility (Mean) (120-Day)
0.7608
Implied Volatility (Mean) (150-Day)
0.7528
Implied Volatility (Mean) (180-Day)
0.7497
Put-Call Implied Volatility Ratio (10-Day)
0.9818
Put-Call Implied Volatility Ratio (20-Day)
1.0050
Put-Call Implied Volatility Ratio (30-Day)
1.0377
Put-Call Implied Volatility Ratio (60-Day)
0.9963
Put-Call Implied Volatility Ratio (90-Day)
0.9869
Put-Call Implied Volatility Ratio (120-Day)
1.0004
Put-Call Implied Volatility Ratio (150-Day)
1.0158
Put-Call Implied Volatility Ratio (180-Day)
1.0197
Implied Volatility Skew (10-Day)
Implied Volatility Skew (20-Day)
Implied Volatility Skew (30-Day)
Implied Volatility Skew (60-Day)
0.0000
Implied Volatility Skew (90-Day)
Implied Volatility Skew (120-Day)
Implied Volatility Skew (150-Day)
Implied Volatility Skew (180-Day)
Option Statistics
Put-Call Ratio (Volume) (10-Day)
Put-Call Ratio (Volume) (20-Day)
Put-Call Ratio (Volume) (30-Day)
Put-Call Ratio (Volume) (60-Day)
Put-Call Ratio (Volume) (90-Day)
Put-Call Ratio (Volume) (120-Day)
Put-Call Ratio (Volume) (150-Day)
Put-Call Ratio (Volume) (180-Day)
Put-Call Ratio (Open Interest) (10-Day)
0.0000
Put-Call Ratio (Open Interest) (20-Day)
0.0000
Put-Call Ratio (Open Interest) (30-Day)
0.0000
Put-Call Ratio (Open Interest) (60-Day)
1.0000
Put-Call Ratio (Open Interest) (90-Day)
1.0000
Put-Call Ratio (Open Interest) (120-Day)
1.0000
Put-Call Ratio (Open Interest) (150-Day)
1.0000
Put-Call Ratio (Open Interest) (180-Day)
Percentiles Within Industry of Price Performance
Percentile Within Industry, Percent Change in Price, Past 52 Weeks
40.40
Percentile Within Industry, Percent Change in Price, Past 26 Weeks
50.51
Percentile Within Industry, Percent Change in Price, Past 13 Weeks
48.48
Percentile Within Industry, Percent Change in Price, Past 4 Weeks
46.46
Percentile Within Industry, Percent Change in Price, Past 2 Weeks
58.59
Percentile Within Industry, Percent Change in Price, Past Week
32.32
Percentile Within Industry, Percent Change in Price, 1 Day
72.73
Percentiles Within Industry of Revenue/Net Income Growth
Percentile Within Industry, Percent Growth in Quarterly Revenue (QoQ)
78.41
Percentile Within Industry, Percent Growth in Quarterly Revenue (YoY)
94.32
Percentile Within Industry, Percent Growth in Annual Revenue
76.09
Percentile Within Industry, Percent Growth in Quarterly Net Income (QoQ)
63.74
Percentile Within Industry, Percent Growth in Quarterly Net Income (YoY)
85.71
Percentile Within Industry, Percent Growth in Annual Net Income
26.04
Percentiles Within Industry of Fundamental Ratios and Percentages
Percentile Within Industry, PE Ratio (Current Year Earnings Estimate)
Percentile Within Industry, PE Ratio (Trailing 12 Months)
70.37
Percentile Within Industry, PEG Ratio (Long Term Growth Estimate)
Percentile Within Industry, Price to Sales Ratio (Trailing 12 Months)
62.79
Percentile Within Industry, Price to Book Ratio (Most Recent Quarterly Book Value per Share)
68.54
Percentile Within Industry, Price to Cash Ratio (Most Recent Annual Cash Flow per Share)
70.24
Percentile Within Industry, Pre-Tax Margin (Trailing 12 Months)
43.33
Percentile Within Industry, Net Margin (Trailing 12 Months)
48.31
Percentile Within Industry, Return on Equity (Trailing 12 Months)
65.56
Percentile Within Industry, Return on Assets (Trailing 12 Months)
73.33
Percentile Within Industry, Current Ratio (Most Recent Fiscal Quarter)
90.22
Percentile Within Industry, Quick Ratio (Most Recent Fiscal Quarter)
90.00
Percentile Within Industry, Debt to Common Equity (Most Recent Fiscal Quarter)
53.93
Percentile Within Industry, Inventory Turnover (Trailing 12 Months)
Percentile Within Industry, Dividend Yield (Based on Last Quarter)
60.61
Percentile Within Industry, Percentage Held By Insiders (Latest Annual Proxy Report)
91.75
Percentile Within Industry, Percentage Held By Institutions (Latest 13F Reports)
48.45
Percentiles Within Sector of Price Performance
Percentile Within Sector, Percent Change in Price, Past 52 Weeks
34.21
Percentile Within Sector, Percent Change in Price, Past 26 Weeks
39.89
Percentile Within Sector, Percent Change in Price, Past 13 Weeks
41.27
Percentile Within Sector, Percent Change in Price, Past 4 Weeks
24.79
Percentile Within Sector, Percent Change in Price, Past 2 Weeks
53.74
Percentile Within Sector, Percent Change in Price, Past Week
33.24
Percentile Within Sector, Percent Change in Price, 1 Day
70.36
Percentiles Within Sector of Revenue/Net Income Growth
Percentile Within Sector, Percent Growth in Quarterly Revenue (QoQ)
71.82
Percentile Within Sector, Percent Growth in Quarterly Revenue (YoY)
94.93
Percentile Within Sector, Percent Growth in Annual Revenue
79.28
Percentile Within Sector, Percent Growth in Quarterly Net Income (QoQ)
66.02
Percentile Within Sector, Percent Growth in Quarterly Net Income (YoY)
84.74
Percentile Within Sector, Percent Growth in Annual Net Income
15.34
Percentiles Within Sector of Fundamental Ratios and Percentages
Percentile Within Sector, PE Ratio (Current Year Earnings Estimate)
Percentile Within Sector, PE Ratio (Trailing 12 Months)
62.98
Percentile Within Sector, PEG Ratio (Long Term Growth Estimate)
Percentile Within Sector, Price to Sales Ratio (Trailing 12 Months)
84.51
Percentile Within Sector, Price to Book Ratio (Most Recent Quarterly Book Value per Share)
74.56
Percentile Within Sector, Price to Cash Ratio (Most Recent Annual Cash Flow per Share)
63.09
Percentile Within Sector, Pre-Tax Margin (Trailing 12 Months)
73.04
Percentile Within Sector, Net Margin (Trailing 12 Months)
73.60
Percentile Within Sector, Return on Equity (Trailing 12 Months)
72.20
Percentile Within Sector, Return on Assets (Trailing 12 Months)
90.48
Percentile Within Sector, Current Ratio (Most Recent Fiscal Quarter)
95.67
Percentile Within Sector, Quick Ratio (Most Recent Fiscal Quarter)
95.92
Percentile Within Sector, Debt to Common Equity (Most Recent Fiscal Quarter)
61.61
Percentile Within Sector, Inventory Turnover (Trailing 12 Months)
Percentile Within Sector, Dividend Yield (Based on Last Quarter)
91.69
Percentile Within Sector, Percentage Held By Insiders (Latest Annual Proxy Report)
93.63
Percentile Within Sector, Percentage Held By Institutions (Latest 13F Reports)
31.79
Percentiles Within Market of Price Performance
Percentile Within Market, Percent Change in Price, Past 52 Weeks
46.25
Percentile Within Market, Percent Change in Price, Past 26 Weeks
45.52
Percentile Within Market, Percent Change in Price, Past 13 Weeks
56.59
Percentile Within Market, Percent Change in Price, Past 4 Weeks
25.95
Percentile Within Market, Percent Change in Price, Past 2 Weeks
30.76
Percentile Within Market, Percent Change in Price, Past Week
22.34
Percentile Within Market, Percent Change in Price, 1 Day
60.02
Percentiles Within Market of Revenue/Net Income Growth
Percentile Within Market, Percent Growth in Quarterly Revenue (QoQ)
57.71
Percentile Within Market, Percent Growth in Quarterly Revenue (YoY)
93.14
Percentile Within Market, Percent Growth in Annual Revenue
82.15
Percentile Within Market, Percent Growth in Quarterly Net Income (QoQ)
62.68
Percentile Within Market, Percent Growth in Quarterly Net Income (YoY)
86.46
Percentile Within Market, Percent Growth in Annual Net Income
23.33
Percentiles Within Market of Fundamental Ratios and Percentages
Percentile Within Market, PE Ratio (Current Year Earnings Estimate)
Percentile Within Market, PE Ratio (Trailing 12 Months)
37.46
Percentile Within Market, PEG Ratio (Long Term Growth Estimate)
Percentile Within Market, Price to Sales Ratio (Trailing 12 Months)
75.26
Percentile Within Market, Price to Book Ratio (Most Recent Quarterly Book Value per Share)
50.84
Percentile Within Market, Price to Cash Ratio (Most Recent Annual Cash Flow per Share)
56.80
Percentile Within Market, Pre-Tax Margin (Trailing 12 Months)
88.11
Percentile Within Market, Net Margin (Trailing 12 Months)
86.77
Percentile Within Market, Return on Equity (Trailing 12 Months)
74.82
Percentile Within Market, Return on Assets (Trailing 12 Months)
81.66
Percentile Within Market, Current Ratio (Most Recent Fiscal Quarter)
91.30
Percentile Within Market, Quick Ratio (Most Recent Fiscal Quarter)
91.92
Percentile Within Market, Debt to Common Equity (Most Recent Fiscal Quarter)
61.16
Percentile Within Market, Inventory Turnover (Trailing 12 Months)
Percentile Within Market, Dividend Yield (Based on Last Quarter)
93.87
Percentile Within Market, Percentage Held By Insiders (Latest Annual Proxy Report)
93.28
Percentile Within Market, Percentage Held By Institutions (Latest 13F Reports)
34.82