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rYojbaba Co., Ltd. provides consulting and health services to various customers in Japan. It operates through two segments, Consulting Services and Health Services. The Consulting Services segment offers labor and corporate consulting services to labor unions, companies to support the practice of whistleblowing and stress checks, and companies and labor unions to resolve disputes. The Health Service segment provides health services through osteopathic clinics and beauty salons to alleviate physical ailments primarily created by work related stress. rYojbaba Co., Ltd. was formerly known as Sakai Seikotsuin Co., Ltd. and changed its name to rYojbaba Co., Ltd. in October 2021. The company was founded in 2015 and is based in Fukuoka City, Japan. more
| Time Frame | RYOJ | Sector | S&P500 |
|---|---|---|---|
| 1-Week Return | -9.35% | 1.25% | 0.42% |
| 1-Month Return | -18.18% | 7.83% | 1.02% |
| 3-Month Return | -42.6% | 19.29% | 4.93% |
| 6-Month Return | -1.18% | 16.61% | 7.32% |
| 1-Year Return | -13.1% | 27.91% | 12.16% |
| Time Frame | RYOJ | Sector | S&P500 |
|---|---|---|---|
| 1-Week Return | -99.40% | 91.12% | 24.43% |
| 1-Month Return | -91.29% | 150.23% | 13.14% |
| 3-Month Return | -89.47% | 104.49% | 21.55% |
| 6-Month Return | -2.38% | 36.56% | 15.40% |
| 1-Year Return | -13.10% | 27.91% | 12.16% |
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Total Revenue | 10.96M | 11.58M | [{"date":"2023-12-31","value":94.7,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Cost of Revenue | 7.25M | 7.12M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":98.22,"profit":true}] | |||
| Gross Profit | 3.72M | 4.46M | [{"date":"2023-12-31","value":83.34,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Gross Margin | 33.89% | 38.50% | [{"date":"2023-12-31","value":88.01,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Operating Expenses | 2.41M | 2.60M | [{"date":"2023-12-31","value":92.81,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Operating Income | 1.31M | 1.86M | [{"date":"2023-12-31","value":70.14,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Total Non-Operating Income/Expense | 1.55K | 5.54K | [{"date":"2023-12-31","value":28.07,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Pre-Tax Income | 1.39M | 1.94M | [{"date":"2023-12-31","value":71.36,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income Taxes | 616.35K | 611.02K | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":99.14,"profit":true}] | |||
| Income After Taxes | 770.57K | 1.33M | [{"date":"2023-12-31","value":57.83,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income From Continuous Operations | 770.57K | 1.33M | [{"date":"2023-12-31","value":57.83,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income From Discontinued Operations | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Net Income | 770.57K | 1.33M | [{"date":"2023-12-31","value":57.83,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| EPS (Diluted) | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Total Revenue | - | 5.60% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Cost of Revenue | - | (1.78%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Gross Profit | - | 19.99% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Gross Margin | - | 13.63% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Operating Expenses | - | 7.75% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Operating Income | - | 42.58% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Total Non-Operating Income/Expense | - | 256.24% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Pre-Tax Income | - | 40.12% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income Taxes | - | (0.86%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Income After Taxes | - | 72.91% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income From Continuous Operations | - | 72.91% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Income From Discontinued Operations | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Net Income | - | 72.91% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| EPS (Diluted) | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Dec '24 | ||||||
|---|---|---|---|---|---|---|
| Total Revenue | 42.31K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Cost of Revenue | 25.63K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Gross Profit | 16.67K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Gross Margin | 39.41% | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Operating Expenses | 8.29K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Operating Income | 8.38K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Total Non-Operating Income/Expense | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Pre-Tax Income | 8.63K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Income Taxes | 2.44K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Income After Taxes | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income From Continuous Operations | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income From Discontinued Operations | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Net Income | 6.19K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| EPS (Diluted) | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Dec '24 | ||||||
|---|---|---|---|---|---|---|
| Total Revenue | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Cost of Revenue | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Gross Profit | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Gross Margin | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Operating Expenses | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Operating Income | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Total Non-Operating Income/Expense | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Pre-Tax Income | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income Taxes | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income After Taxes | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income From Continuous Operations | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Income From Discontinued Operations | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Net Income | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| EPS (Diluted) | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Total Assets | ||||||
| Current Assets | 6.64M | 6.47M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":97.53,"profit":true}] | |||
| Non-current Assets | 11.36M | 9.58M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":84.33,"profit":true}] | |||
| Total Assets | 18.00M | 16.06M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":89.2,"profit":true}] | |||
| Total Liabilities | ||||||
| Current Liabilities | 4.73M | 4.57M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":96.58,"profit":true}] | |||
| Non-current Liabilities | 11.89M | 8.97M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":75.46,"profit":true}] | |||
| Total Liabilities | 16.61M | 13.54M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":81.47,"profit":true}] | |||
| Total Shareholders' equity | ||||||
| Common Stock | 41.55K | 41.55K | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Retained Earnings | 295.20K | 1.63M | [{"date":"2023-12-31","value":18.14,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Other Stockholders' Equity | 1.35M | 1.35M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Total Shareholders' equity | 1.39M | 2.52M | [{"date":"2023-12-31","value":55.01,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Total Liabilities & Shareholders Equity | 18.00M | 16.06M | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":89.2,"profit":true}] | |||
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Total Assets | ||||||
| Current Assets | - | (2.47%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Non-current Assets | - | (15.67%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Total Assets | - | (10.80%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Total Liabilities | ||||||
| Current Liabilities | - | (3.42%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Non-current Liabilities | - | (24.54%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Total Liabilities | - | (18.53%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Total Shareholders' equity | ||||||
| Common Stock | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Retained Earnings | - | 451.35% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Other Stockholders' Equity | - | - | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":"-","profit":true}] | |||
| Total Shareholders' equity | - | 81.79% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Total Liabilities & Shareholders Equity | - | (10.80%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Dec '24 | Jun '25 | |||||
|---|---|---|---|---|---|---|
| Total Assets | ||||||
| Current Assets | 6.47M | 5.54M | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":85.57,"profit":true}] | |||
| Non-current Assets | 9.58M | 10.06M | [{"date":"2024-12-31","value":95.3,"profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Assets | 16.06M | 15.60M | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":97.13,"profit":true}] | |||
| Total Liabilities | ||||||
| Current Liabilities | 4.57M | 2.98M | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":65.32,"profit":true}] | |||
| Non-current Liabilities | 8.97M | 9.40M | [{"date":"2024-12-31","value":95.4,"profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Liabilities | 13.54M | 12.39M | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":91.5,"profit":true}] | |||
| Total Shareholders' equity | ||||||
| Common Stock | 264.37 | - | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":"-","profit":true}] | |||
| Retained Earnings | 10.36K | 2.07M | [{"date":"2024-12-31","value":0.5,"profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Other Stockholders' Equity | 8.59K | - | [{"date":"2024-12-31","value":100,"profit":true},{"date":"2025-06-30","value":"-","profit":true}] | |||
| Total Shareholders' equity | 16.04K | 3.21M | [{"date":"2024-12-31","value":0.5,"profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Liabilities & Shareholders Equity | 13.55M | 15.60M | [{"date":"2024-12-31","value":86.89,"profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Dec '24 | Jun '25 | |||||
|---|---|---|---|---|---|---|
| Total Assets | ||||||
| Current Assets | - | (14.43%) | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":null,"profit":false}] | |||
| Non-current Assets | - | 4.93% | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Assets | - | (2.87%) | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":null,"profit":false}] | |||
| Total Liabilities | ||||||
| Current Liabilities | - | (34.68%) | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":null,"profit":false}] | |||
| Non-current Liabilities | - | 4.83% | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Liabilities | - | (8.50%) | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":null,"profit":false}] | |||
| Total Shareholders' equity | ||||||
| Common Stock | - | - | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":"-","profit":true}] | |||
| Retained Earnings | - | 19918.55% | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Other Stockholders' Equity | - | - | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":"-","profit":true}] | |||
| Total Shareholders' equity | - | 19914.23% | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Total Liabilities & Shareholders Equity | - | 15.09% | [{"date":"2024-12-31","value":"-","profit":true},{"date":"2025-06-30","value":100,"profit":true}] | |||
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Operating Activities | ||||||
| Net Operating Cash Flow | 388.99K | 802.39K | [{"date":"2023-12-31","value":48.48,"profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Investing Activities | ||||||
| Net Investing Cash Flow | 625.61K | (121.24K) | [{"date":"2023-12-31","value":100,"profit":true},{"date":"2024-12-31","value":-19.38,"profit":false}] | |||
| Financing Activities | ||||||
| Net Financing Cash Flow | (1.32M) | (2.43M) | [{"date":"2023-12-31","value":-132484900,"profit":false},{"date":"2024-12-31","value":-242968700,"profit":false}] | |||
| Net Change in Cash | (657.45K) | (2.17M) | [{"date":"2023-12-31","value":-65745400,"profit":false},{"date":"2024-12-31","value":-217046100,"profit":false}] | |||
| Free Cash Flow | ||||||
| Free Cash Flow | (1.42M) | 681.14K | [{"date":"2023-12-31","value":-208.78,"profit":false},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Dec '23 | Dec '24 | |||||
|---|---|---|---|---|---|---|
| Operating Activities | ||||||
| Net Operating Cash Flow | - | 106.27% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Investing Activities | ||||||
| Net Investing Cash Flow | - | (119.38%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Financing Activities | ||||||
| Net Financing Cash Flow | - | 83.39% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Net Change in Cash | - | 230.13% | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":100,"profit":true}] | |||
| Free Cash Flow | ||||||
| Free Cash Flow | - | (147.90%) | [{"date":"2023-12-31","value":"-","profit":true},{"date":"2024-12-31","value":null,"profit":false}] | |||
| Dec '24 | ||||||
|---|---|---|---|---|---|---|
| Operating Activities | ||||||
| Net Operating Cash Flow | 2.62K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Investing Activities | ||||||
| Net Investing Cash Flow | (573.00) | [{"date":"2024-12-31","value":-57300,"profit":false}] | ||||
| Financing Activities | ||||||
| Net Financing Cash Flow | (12.61K) | [{"date":"2024-12-31","value":-1261100,"profit":false}] | ||||
| Net Change in Cash | (8.65K) | [{"date":"2024-12-31","value":-864700,"profit":false}] | ||||
| Free Cash Flow | ||||||
| Free Cash Flow | 2.04K | [{"date":"2024-12-31","value":100,"profit":true}] | ||||
| Dec '24 | ||||||
|---|---|---|---|---|---|---|
| Operating Activities | ||||||
| Net Operating Cash Flow | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Investing Activities | ||||||
| Net Investing Cash Flow | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Financing Activities | ||||||
| Net Financing Cash Flow | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Net Change in Cash | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
| Free Cash Flow | ||||||
| Free Cash Flow | - | [{"date":"2024-12-31","value":"-","profit":true}] | ||||
These ratios help you determine the liquidity of the company. Higher is better.
| RYOJ | |
|---|---|
| Current Ratio | 1.86 |
| Quick Ratio | 1.83 |
These ratios help you understand the company's efficiency in using its assets to generate returns. Higher is better. For ROE, average long term is around 14%, less than 10% is poor.
| RYOJ | |
|---|---|
| ROA (LTM) | 6.83% |
| ROE (LTM) | 68.18% |
These ratios help you understand the company's liabilities, gauging the riskiness of the investment.
| RYOJ | |
|---|---|
| Debt Ratio Lower is generally better. Negative is bad. | 0.79 |
| Common Equity/Total Assets Higher is better. Lower can suggest investment is riskier. | 0.21 |
These ratios help you understand the company's valuation. Lower may indicate cheaper stocks.
| RYOJ | |
|---|---|
| Trailing PE | 38.83 |
| Forward PE | NM |
| P/S (TTM) | 4.53 |
| P/B | 8.88 |
| Price/FCF | 25699 |
| EV/R | 2.61 |
| EV/Ebitda | 12.12 |
rYojbaba Co., Ltd. Common Shares (RYOJ) share price today is $2.65
Yes, Indians can buy shares of rYojbaba Co., Ltd. Common Shares (RYOJ) on Vested. To buy
Yes, you can purchase fractional shares of rYojbaba Co., Ltd. Common Shares (RYOJ) via the Vested app. You can start investing in rYojbaba Co., Ltd. Common Shares (RYOJ) with a minimum investment of $1.
You can invest in shares of rYojbaba Co., Ltd. Common Shares (RYOJ) via Vested in three simple steps:
The 52-week high price of rYojbaba Co., Ltd. Common Shares (RYOJ) is $11.43. The 52-week low price of rYojbaba Co., Ltd. Common Shares (RYOJ) is $.
The price-to-earnings (P/E) ratio of rYojbaba Co., Ltd. Common Shares (RYOJ) is 38.8333
The price-to-book (P/B) ratio of rYojbaba Co., Ltd. Common Shares (RYOJ) is 8.88
The dividend yield of rYojbaba Co., Ltd. Common Shares (RYOJ) is 0.00%
The market capitalization of rYojbaba Co., Ltd. Common Shares (RYOJ) is $29.25M
The stock symbol (or ticker) of rYojbaba Co., Ltd. Common Shares is RYOJ
Consider the share price of rYojbaba Co., Ltd. Common Shares as a long-term story and not a daily point list. The price represents a movement of the stock in both good and bad times when looked at over many years. This assists the investors to know whether rYojbaba Co., Ltd. Common Shares has succeeded to expand steadily and overcome market declines. With this price movement observed and the way the business is progressing, it is easier to make a decision whether the stock is worth having in the long term or not.
When investing in rYojbaba Co., Ltd. Common Shares shares, you are not based in India then your investment is not just based on the stock price. It is also determined by the currency movement of the dollar in relation to the rupee. When you have an appreciation of the rYojbaba Co., Ltd. Common Shares stock and the dollar appreciation is also the same, you gain more in terms of rupees. When the rupee appreciated, it will lower your profits. This currency flow is a silent cause of great contribution to your ultimate returns over many years.
Rather than merely checking the share price of rYojbaba Co., Ltd. Common Shares and comparing it with that of other stocks in the same sector, one can check how robust the business is. Investors tend to compare such aspects as profits, cash generation, and the stability of the revenues of the company. This means that rYojbaba Co., Ltd. Common Shares stock in most cases does not react in the same manner as other companies in the sector due to its brand and services revenue.
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