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Dayo Verdict · {{company.name}}
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DAYO Fair Value
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DAYO Fair Value (4-Model Composite)
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Custom scenario — not the official Dayo Fair Value. Reset
Bear {{results.bear | currencyFmt:currencySymbol}} Bull {{results.bull | currencyFmt:currencySymbol}}
Current Price {{data.price | currencyFmt:currencySymbol}}
Current Price
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as of {{data.fetchedAtLabel}}
5-Yr Target Price
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Margin of Safety
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Margin-of-Safety Price
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Fair value, margin of safety, and scenarios are model estimates for research and educational use — informational only, not financial advice.
Scenario Analysis
Bear Case
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Growth ×0.6 / P/E ×0.75
Base Case
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{{results.baseDelta | number:1}}% vs price
Analyst estimates
Bull Case
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{{results.bullDelta | number:1}}% vs price
Growth ×1.4 / P/E ×1.25
DAYO Scenario Fair Value vs Current Price
Valuation Model Breakdown

The DAYO Fair Value combines four independent valuation models, each weighted by its academic backing and reliability. Models that lack sufficient data are excluded from the composite automatically.

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DAYO Fair Value Weighted Composite
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Latest News
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{{company.name}} Fair Value Analysis ({{company.ticker}}) BRK-B Fair Value Analysis (BRK-B)

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Market Cap
Total market value of the company’s shares (price × shares outstanding).
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P/E (TTM)
Trailing twelve months price-to-earnings ratio. Compares today’s stock price to the last four quarters of actual earnings per share. A higher P/E may indicate stronger growth expectations; a lower P/E may suggest cheaper valuation or lower expected growth.
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EPS (TTM)
Trailing twelve months earnings per share — the actual net income earned per diluted share over the last four reported quarters. Rising EPS generally indicates improving profitability per share.
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Analyst Target
The average 12-month price target set by Wall Street analysts covering this stock. Useful as a reference point, but analyst targets can lag the market and should not be used as the sole basis for a decision.
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Rev. Growth (YoY)
How much the company's revenue grew compared to the same period last year. Positive and accelerating growth is a strong indicator of business momentum and market demand.
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Gross Margin
Revenue minus the direct cost of producing goods or services, expressed as a percentage of revenue. Above 40% often signals strong pricing power or a durable competitive advantage.
{{company.metrics.grossMargin !== null ? (company.metrics.grossMargin | number:1)+'%' : '—'}}
Profit Margin
Net income as a percentage of total revenue — how much of each dollar in sales the company keeps as profit. Above 15% is strong. A negative margin means the company is losing money.
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ROE
Return on Equity — measures how effectively the company turns shareholders' investment into profit. Above 15% is considered strong. A negative ROE means the company is destroying value.
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Current Ratio
Measures the company's ability to pay its short-term debts using its short-term assets. A ratio of 1.5 or above is healthy. Below 1.0 may indicate a liquidity risk.
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Debt / Equity
Compares total debt to shareholders' equity. A ratio of 1× or below is conservative. Above 1.5× means the company relies heavily on borrowed money to finance its operations.
{{company.metrics.debtToEquity !== null ? (company.metrics.debtToEquity | number:2)+'x' : '—'}}
Dividend Yield
The annual dividend payment as a percentage of the current stock price. A higher yield means more income per dollar invested, though a very high yield may signal the company is under financial stress.
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Beta
Measures the stock's price volatility relative to the overall market. Below 1 means less volatile than the market. Above 1.5 means significantly more volatile — higher potential reward but also higher risk.
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Stock Score
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{{stockScore.label}} Stock Score
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Key Insights

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Historical Signals 1 of {{historicalSignals.length}} free

How similar financial events have historically resolved for this company, based on past annual data.

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What it means: {{sig.interpretation}}
Observed in: {{sig.yearString}}
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Recovery rate (12 months)
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Margin Compression Pattern 4× observed Premium
This company has shown periods of declining profit margins before. In some cycles margins recovered within 12 months; in others pressure was sustained. See the full outcome breakdown.
Recovery rate (12 months)
Revenue Growth Deceleration 3× observed Premium
Revenue growth slowed to a similar pace in prior cycles. Historical outcomes varied depending on whether margins held and cash flow remained positive. See the full recovery data.
Recovery rate (12 months)
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See exactly how these patterns resolved for this company over the last 10+ years — with outcome rates, recovery timelines, and what to watch.

Revenue vs Net Income ({{currencyCode}} Millions)
Total Assets vs Liabilities ({{currencyCode}} Millions)
5-Year EPS & Price Projection (Bear / Base / Bull)
Share Count History (Millions)

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Market snapshot
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