Morningstar,does'nt come up the way it copiesobi Ai Inc FOBI QQQ 27 Jan 2022, 23:37 UTC Economic Moat Uncertainty Price/Fair Value ESG Risk Rating Assessment1 Trailing Dividend Yield % Market Cap Investment Style Sector Industry None Extreme 0.4 — — 151.0517 Mil Small Core Technology Software - Infrastructure 0.001 400 100 200 Fair ValueQoant 2.41 Last Close 1.02 Overvalued Fairly Valued Undervalued 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 YTD 2.64 0.79 0.59 0.83 1.08 0.98 — 0.62 0.61 0.33 0.42 -97.00 -33.33 -50.00 0.00 600.00 -14.29 -33.33 -17.50 1,142.42 -32.20 -26.62 -104.49 -46.22 -60.22 8.66 578.48 -23.49 -24.33 -40.08 1,136.64 -56.91 -23.52 Performance Price/Fair Value Total Return % +/- Index Total Return % as of 27 Jan 2022. Last Close as of 27 Jan 2022. Fair Value as of 27 Jan 2022, 23:37 UTC. Index: Morningstar Canada GR CAD. 1 The ESG Risk Rating Assessment is a representation of Sustainalytics' ESG Risk Rating.There is no one analyst in which a Quantitative Fair Value Estimate and Quantitative Star Rating are attributed to; however, Mr. Lee Davidson, Head of Quantitative Research for Morningstar, Inc., is responsible for overseeing the methodology that supports the quantitative fair value. As an employee of Morningstar, Inc., Mr. Davidson is guided by Morningstar, Inc.’s Code of Ethics and Personal Securities Trading Policy in carrying out his responsibilities. For