Buy CISCO Shares As It Is Lying At All Time Low…
52 Week Low is $49.08 and 52 Week High is $64.08.

Market Capitalisation is 232.51 Billion.
P/E Ratio is 20.02.
EPS is 2.8
Revenue is 51.55 Billion.
Beta is 0.95, so this share is less volatile.
Dividend is 1.52, almost 2.72%.
One Year Return is 14.69%.
Financial Profile:
https://advisor.turtlemint.com/profile/33278/subin_chandran
Revenue increased by 7% to $25.62Billion. Net Revenue increased by 26% to $5.95 Billion. Net Income has fallen short of 2.973 Billion from 2.980 Billion.
Gross Margin is 63%. Operating Margin is 27%. Net Profit Margin is 22.94%. Return On Investment is 17.3%.
Total Assets had been decreased from 95.981 Billion to 94.262 Billion. Liabilities had been decreased to 53 Billion To 54 Billion.
Quick Ratio is 1.34. Current Ratio is 1.42. Long Term Debt To Equity Ratio is 22.71%. Total Debt To Equity is 29.04%.

Cash from Operating Activities has been increased to almost $2 Billion from 3.427 Billion to 5.888 Billion.
Cash From investing activities has become positive to 31 Million. Cash from Financing Activities had down too high to -$8Billion. Still improvement is there, but more is expected from the companies. Financials.
Cashflow/Share is 3.27. Revenue cashflow/Share is 12.19. Operating Cashflow/Share is 22.72%.
Feb’22 EPS is 0.84. Total Revenue is 12.72Billion. May ’22 EPS is 0.86 whereas Total Revenue collected will be 13.30 Billion.
Dividend Yield is 2.72%. Payout Ratio is 52.64%. Annualised Payout is 1.48. Last 5 years growth is 6.51%.
CISCO is working in Cloud Technology, Networking, Security, Collaboration Application and more. It works in different Geographical segments like America’s, Europe, Middle East & Africa, and Asia-Pacific.
Registration Fees : $100. Profit Sharing is 80:20.
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