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This table contains critical financial ratios such as Price-to-Earnings (P/E Ratio), Earnings-Per-Share (EPS), Return-On-Investment (ROI) and others based on Starbucks Corporation's . 1) Drug Manufacturers - General: major, global pharmaceutical manufacturers offering a broad and diverse line of drug and healthcare products; industry leaders that have made a significant commitment to the research and development of a long pipeline of drugs. Maxis Bhd (6012) Quote - XKLS | Morningstar Listed companies' analysis | Ranking | Industry ratios | Statements. BABA Stock Price and Chart — TradingView BABA ROIC % | Alibaba Group Holding - GuruFocus.com URL. In-depth view of key statistics and finances for AMAZON.COM, INC. (AMZN) on MSN Money. Quote Stock Analysis News Price vs Fair Value Sustainability Trailing Returns Financials Valuation Operating . Morningstar Rating. GMV is defined as the total value of transactions made across the company's marketplace. Simón Gómez Garcés. All Industries: industry financial ratios benchmarking Si bien un Quick Ratio inferior a 1 no necesariamente significa que la empresa está en quiebra, podría significar que la compañía depende en gran medida del inventario u otros activos para pagar sus pasivos a corto plazo. At the end of 2020, Morningstar said the asset-weighted expense ratio for sustainable funds stood at 0.61%, compared to 0.41% across the whole investment fund space. Market indices are shown in real time, except for the DJIA, which is delayed by two minutes. Morningstar Stock, Mutual Fund, Investment Research ... Alibaba's China commerce retail division accounted for 69% of revenue in the . It indicates how well a company is able to pay its current bills. Best China ETFs: Overall [Nov 2020] If you've been following Morningstar's research for long, you know how important we think the cost of investing is. Falling fund fees saved investors more than $6B in 2020 ... So if a company, for example, takes on debt to buy back shares, the ROCE doesn't change like the ROE does. Stock Research, Market Indexes ... - Morningstar India Drug Manufacturers Industry - GuruFocus Alibaba's China commerce retail division accounted for 69% of . Alibaba's Gross Merchandise Value (GMV) is very solid. Key Facts Investment Advisor Vanguard Group Inc Asset Class International - Large Blend Primary Index MSCI EAFE (net) Broad Based Index MSCI ACWI ex USA Index Net Assets $5,832.2 Million Inception Date 04/30/2007 Ticker VFWSX Gross Expense Ratio 0.08% Morningstar Category Foreign Large Blend Morningstar Overall Rating™ «««« Overall # of . Some performance differences between the fund and the benchmark may arise as the bench mark returns are not adjusted for non-dealing days of the fund. Recent Price $151.55: Recent Price 11/24/21: 52 Week High $158.00: 52 Week Low $88.43: 5 Day Price Percent Change (%) It operates China's most-visited online marketplaces, including Taobao (consumer-to-consumer) and Tmall (business-to-consumer). Cuanto mayor sea la relación rápida, mejor será la posición de liquidez de la empresa. The expense ratio is the most proven predictor of future . Profile. Rating as of Dec 20, 2021. Learn about U11 (XSES) with our data and independent analysis including price, star rating, valuation, dividends, and financials. Still, the cover provided by sustainable investing has been shrinking. A D/E ratio of 1 means its debt is equivalent to its common equity. Alibaba Group Holding's ROIC % is 5.86% (calculated using TTM income statement data). PEP Ratios. Take note that some businesses are more capital intensive than others. Alibaba: 0,14 Mercado Libre: 25,94. In-depth view of key statistics and finances for NEWMONT CORPORATION (NEM) on MSN Money. Volatility Analysis 3-Yr Risk Measures as of 03-31-21 Port Avg Benchmark Standard Deviation 18.90 19.41 Sharpe Ratio 0.96 1.09 Information Ratio -0.89 . Most of these portfolios focus on companies in rapidly expanding industries. Company: Morningstar India Private Limited; Regd. Learn about 00700 (XHKG) with our data and independent analysis including price, star rating, valuation, dividends, and financials. Alibaba Group Holding's ROIC % is 5.86% (calculated using TTM income statement data). value, and cash flow) and high valuations (high price ratios and low dividend yields). To arrive at our expense ratio, we divide our underwriting expense by the NEP, giving us an expense ratio of 29.4%. In-depth view of key statistics and finances for Alibaba Group Holding Limited (BABA) on MSN Money. In-depth view of key statistics and finances for CONAGRA BRANDS, INC. (CAG) on MSN Money. Inception Date 11/29/2010 Ticker VTSNX Gross Expense Ratio 0.08% Morningstar Category Foreign Large Blend Morningstar Overall Rating™ . Ten years of annual and quarterly financial ratios and margins for analysis of Starbucks (SBUX). Simple module for downloading financial statements and estimates from financials.morningstar.com - GitHub - tobigs/mfinancials: Simple module for downloading financial statements and estimates from financials.morningstar.com Russel Kinnel 01.12.2016. Some of the most common are: Current ratio - current assets divided by current liabilities. Total revenues were RMB 717.3 billion ($109.5 billion) in fiscal 2021. The company's Li ONE, is a six-seat, large electric SUV equipped with a range extension system and cutting-edge smart vehicle solutions. All times are ET. BABA 118.66 +0.85(0.72%) Alibaba Group Holding earns returns that do not match up to its cost . Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion for the fiscal year ended March 2020). The Top 5 holdings of this ETF are Alibaba at 20.3%, Tencent at 15.5%, Meituan at 4.7%, JD at 2.5%, and China Construction Bank at 2.3%. Alibaba Group Holding Limited. Beta 0.98 . Filament Health Corp is a natural psychedelic drug discovery and extraction technology company. The Fund size quoted includes all All Industries: average industry financial ratios for U.S. listed companies Industry: All Industries Measure of center: Financial ratio Year; 2020 2019 2018 2017 2016 2015; Solvency Ratios . Hangzhou, Zhejiang 310052. Alibaba Group Holding Ltd Ordinary Shares 1.18% Nestle SA 1.08% Samsung Electronics Co Ltd 1.05%. Key Takeaways. The average rate of decline per year is -9.8%. Edit. Filament engages in natural extraction technology commercialization . The Cloud Computing segment consists of Alibaba Cloud, which offers elastic computing, database, storage and content delivery network, large scale computing, security, management and application, big data analytics, a machine learning platform, and other services provide for enterprises of different sizes across various industries. As a result, we estimate investors saved nearly $6.2 billion in fund expenses last year. It operates China's online marketplaces . Price to Earnings Ratio or P/E is price / earnings. And a few billion saved means more dollars earned in the years to come, according to the report. The ratio measures the company's historic ability to both cover its debts and to make a profit for shareholders. Current Price: $112.09 -2.71(-2.36%) Market Cap$: 303.87 Bil 7 Good Signs/2 Severe Warning Signs Quick ratio - current assets minus inventory, divided by current . This fund has a Morningstar rating of 3 stars with an expense ratio of 0.59% which is around the average level. BABA 118.66 +0.85(0.72%) The rating formula most heavily weights the three year rating, using the following calculation: 100% three-year rating for 36-59 months of total . Interpretación del Quick Ratio. Key Facts Investment Advisor Invesco Advisers, Inc. Asset Class International - Emerging Market Primary Index MSCI Emerging Markets Net Dividend Index Net Assets $21,880.1 Million Inception Date 09/07/2005 Ticker ODVYX Gross Expense Ratio 1.00% Morningstar Category Diversified Emerging Mkts Morningstar Overall Rating™ «««« Overall # of . Li Auto Inc designs, develops, manufactures, and sells smart electric SUVs. Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion for the fiscal year ended March 2020). Analyst Report: Alibaba Group Holding Limited Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion . Start a 14-day free trial to Morningstar Premium to unlock our . This table contains critical financial ratios such as Price-to-Earnings (P/E Ratio), Earnings-Per-Share (EPS), Return-On-Investment (ROI) and others based on Tesco PLC's latest . It is a very important metric for e-Commerce companies. The higher the ratio, the better the risk-adjusted performance has been. It is the . Source: Morningstar, NAV to NAV, net income reinvested, net of fees, based on Schroder International Selection Fund Greater China A Accumulation USD Units, USD. This table contains critical financial ratios such as Price-to-Earnings (P/E Ratio), Earnings-Per-Share (EPS), Return-On-Investment (ROI) and others based on Apple Inc's latest . The higher the ratio, the better the risk-adjusted performance has been. Alibaba Group Holding Limited has a trailing-twelve-months P/E of 12.09X compared to the Internet - Commerce industry's P/E of 42.34X. Over the past decade, the average fee for these funds has fallen 27% on an equal-weighted basis, and 38% on . The company reports revenues under four broad heads, Core Commerce, Cloud Computing, Digital Media and Entertainment, and . As of today (2021-12-24), Alibaba Group Holding's WACC % is 5.89%. A D/E ratio of 1 means its debt is equivalent to its common equity. Alibaba Group Holding's annualized return on invested capital (ROIC %) for the quarter that ended in Sep. 2021 was -2.77%. This fund has a Morningstar rating of 3 stars with an expense ratio of 0.59% which is around the average level. ROCE measures the EBIT of the business against the entire capital base, both equity and debt. 37.0. Last FQE. Volatility Analysis 3-Yr Risk Measures as of 12-31-19 Port Avg Benchmark Standard Deviation 13.27 13.26 Sharpe Ratio 1.25 1.35 Information Ratio -0.64 . Financial Ratio Calculator - Accounts Payable to Sales Ratio. It operates China's online marketplaces, including Taobao (consumer-to-consumer) and Tmall (business-to-consumer). Office: 9th floor, Platinum Technopark, Plot No. The asset-weighted average expense ratio fell to 0.41% in 2020 from 0.44% in 2019. TSCO Ratios. The Hang Seng Tech Index (HSTI) further advanced today and surpassed the 10MA, peaking at 5,723 (while meeting resistance at 20MA at 5,759). Title. Alibaba continues to witness increasing monetization rates (i.e., the amount Alibaba earns from the sale of goods on its platforms is going up). Industry Mixed Retailing. Phone 86 571 850-22088. Cuanto mayor sea la relación rápida, mejor será la posición de liquidez de la empresa. The Morningstar Analyst Rating is the summary expression of our forward-looking, qualitative analysis of a fund. Alibaba Group Holding Limited. View BABA: Alibabainvestment & stock information. Alibaba Group Holding earns returns that do not match up to its cost . Ten years of annual and quarterly financial ratios and margins for analysis of Tesla (TSLA). Gran endeudamiento el de mercado libre a largo plazo, alibaba es increíblemente solvente y Amazon tiene una relación equilibrada en su endeudamiento. And the median was 64.23%. R-Squared 96.36 . Market indices are shown in real time, except for the DJIA, which is delayed by two minutes. Sharpe Ratio is a measure of a fund's risk adjusted performance taking into account the return on a risk-free investment. The drug manufacturers industry includes. value, and cash flow) and high valuations (high price ratios and low dividend yields). Most of these portfolios focus on companies in rapidly expanding industries. According to these financial ratios Alibaba Group Holding Ltd.'s valuation is below the market valuation of its sector. Find out all the key statistics for Netflix, Inc. (NFLX), including valuation measures, fiscal year financial statistics, trading record, share statistics and more. Key Facts Investment Advisor Vanguard Group Inc Asset Class International - Large . Binjiang District. Start a 14-day free trial to Morningstar Premium to unlock our . Take note that some businesses are more capital intensive than others. Analyst Report: Alibaba Group Holding Limited Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion . This is unlike our backward-looking, quantitatively-driven Morningstar Rating (often referred to as the "star rating"), which assigns one to five stars based on a fund's past risk- and load-adjusted returns versus category peers. Key Facts Investment Advisor Hartford Funds Management Company, LLC Asset Class International - Emerging Market Primary Index MSCI Emerging Markets Net Dividend Index Net Assets $2,554.2 Million Inception Date 12/30/2014 Ticker SEMTX Gross Expense Ratio 1.07% Morningstar Category Diversified Emerging Mkts Morningstar Overall Rating . BABA. Alibaba Group Holding Ltd is a holding company that provides the technology infrastructure and marketing reach to help merchants, brands and other businesses to leverage the power of new . Learn about 6012 (XKLS) with our data and independent analysis including price, star rating, valuation, dividends, and financials. So if a company, for example, takes on debt to buy back shares, the ROCE doesn't change like the ROE does. As a result, the Morningstar researchers estimate investors saved nearly $6.2 billion in fund expenses last year. SBUX Ratios. From 2019 to 2020, the asset-weighted average expense ratio fell from 0.44% to 0.41%. The index last stood at 5,678, up nearly 3.7%. ROCE measures the EBIT of the business against the entire capital base, both equity and debt. Financial Ratio Calculator - Altman Z Score. The EV/EBITDA NTM ratio of Alibaba Group Holding Ltd. is significantly lower than its historical 5-year average: 18.2. Key Facts Investment Advisor Fidelity Management & Research Company LLC Asset Class International - Emerging Market Primary Index MSCI Emerging Markets Net Dividend Index Net Assets $5,861.2 Million Inception Date 09/08/2011 Ticker FPADX Gross Expense Ratio 0.075% Morningstar Category Diversified Emerging Mkts Morningstar Overall Rating™ ««« The ratio allows an investor to assess whether the fund is generating adequate returns for the level of risk it is taking. Sector Retail/Wholesale. Find the latest Amazon.com, Inc. (AMZN) stock quote, history, news and other vital information to help you with your stock trading and investing. Alibaba Group Holding Ltd ADR. IAG racked up NEP of $7,233m in 2009, against an underwriting expense of $2,128m. Start a 14-day free trial to Morningstar Premium to unlock our . This table contains critical financial ratios such as Price-to-Earnings (P/E Ratio), Earnings-Per-Share (EPS), Return-On-Investment (ROI) and others based on PepsiCo Inc's latest . Alibaba Group Holding Ltd. ADR. https://www.lixiang.com. Its mission is to see safe, approved, natural psychedelics in the hands of everyone who needs them as soon as possible. The (current) company valuation of Alibaba Group Holding Ltd. is therefore way below its valuation average . Morningstar -> Ticker -> Key Ratios -> Full Key Ratios - Key Ratios -> Financial Health -> Debt/Equity. Alibaba Group Holding's annualized return on invested capital (ROIC %) for the quarter that ended in Sep. 2021 was -2.77%. Get Morningstar's independent and trusted analysis, research, including real-time stock quotes, prices, performance data, analysis, news, tips, and chart info, all designed to help investors invest confidently in stocks. Get the latest stock and industry comparisons from Zacks Investment Research. It is also called ROC %.Alibaba Group Holding's annualized return on invested capital (ROIC %) for the quarter that ended in Sep. 2021 was -2.77%.. As of today (2021-12-29), Alibaba Group Holding's WACC % is 5.90%.Alibaba Group Holding's ROIC % is 5.86% (calculated using TTM income . R-Squared 96.46 . 12/30/2021. Get Morningstar's independent and trusted analysis, research, including real-time stock/fund quotes, prices, performance data, analysis, news, tips, and chart info, all designed to help investors invest confidently in stocks/funds. ROIC % measures how well a company generates cash flow relative to the capital it has invested in its business. Most stock quote data provided by BATS. Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion for the fiscal year ended March 2020). Si bien un Quick Ratio inferior a 1 no necesariamente significa que la empresa está en quiebra, podría significar que la compañía depende en gran medida del inventario u otros activos para pagar sus pasivos a corto plazo. 09/30/2021. The asset . The Overall Morningstar Rating TM for a fund is derived from a weighted average of the performance figures associated with its three-, five- and 10-year (if applicable) Morningstar Rating TM metrics. 699 Wang Shang Road. Financial Ratio Calculator - Altman Z Score (for Non-Manufacturers & Emerging Markets) Financial Ratio Calculator - Altman Z Score (for Private Firms) Financial Ratio Calculator - Average Days Delinquent (ADD) It operates China's online marketplaces, including Taobao (consumer-to-consumer) and Tmall (business-to-consumer). AAPL Ratios. Most stock quote data provided by BATS. 37.0. The ratio measures the company's historic ability to both cover its debts and to make a profit for shareholders. As of today (2021-12-29), Alibaba Group Holding's WACC % is 5.90%. or manually enter accounting data for industry benchmarking. A fund's annual fee is the most proven predictor of future fund returns, says Morningstar's Russel Kinnel - and here are the stats to prove it. Alibaba is the world's largest online and mobile commerce company, measured by GMV (CNY 6.6 trillion/USD 1 trillion for the fiscal year ended March 2020). The lowest was 40.08%. The historical rank and industry rank for Alibaba Group Holding's Gross Margin % or its related term are showing as below: During the past 13 years, the highest Gross Margin % of Alibaba Group Holding was 74.54%. Switching over to QBE, the company's expense ratio comes out at 29.3%, virtually in line with its rival. Interpretación del Quick Ratio. Next FQE. Get Morningstar's independent and trusted analysis, research, including real-time stock/fund quotes, prices, performance data, analysis, news, tips, and chart info, all designed to help investors invest confidently in stocks/funds. Beta 0.96 . Get the latest BABA: Alibaba detailed stock quotes, stock data, Real-Time ECN, charts, stats and more.. Financial ratios and industry averages are useful for comparing a company with its industry for benchmarking purposes. All times are ET. Find out all the key statistics for Alibaba Health Information Technology Limited (0241.HK), including valuation measures, fiscal year financial statistics, trading record, share statistics and more. 17/18, Sector 30A, Vashi, Navi Mumbai - 400705, Maharashtra . BABA: Alibaba industry comparisons. The ratio allows an investor to assess whether the fund is generating adequate returns for the level of risk it is taking. . Alibaba's China commerce retail division accounted for 69% of revenue in the . Fiscal Year-end 03 . Sharpe Ratio is a measure of a fund's risk adjusted performance taking into account the return on a risk-free investment. 2) Drug Manufacturers - Specialty & Generic . The Top 5 holdings of this ETF are Alibaba at 20.3%, Tencent at 15.5%, Meituan at 4.7%, JD at 2.5%, and China Construction Bank at 2.3%. Than alibaba morningstar key ratios historical 5-year average: 18.2 us an expense ratio of 29.4 % been.... Measures the company & # x27 ; s WACC % is 5.90 % la! Ratios for Analysis 2005-2021 | SBUX... < /a > PEP Ratios commerce retail division accounted for 69 % revenue. % is 5.90 % s China commerce retail division accounted for 69 % of revenue in the years come. Ability to both cover its debts and to make a profit for shareholders current -. A company is able to pay its current bills made across the company & # x27 ; s online,... % of ( calculated alibaba morningstar key ratios TTM income statement data ) statement data ) ( 2021-12-29,. 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Historical 5-year average: 18.2 fund is generating adequate returns for the level of Risk is... For Analysis 2005-2021 | SBUX... < /a > PEP alibaba morningstar key ratios equal-weighted basis, and Holding earns returns do! That do not match up alibaba morningstar key ratios its cost the past decade, the better the risk-adjusted performance been... Capital base, both equity and debt cover provided by sustainable investing has.! La posición de liquidez de la empresa: current ratio - current assets divided by.. Sa 1.08 % Samsung Electronics Co Ltd 1.05 % el de mercado libre a largo plazo, Group., Investment Research Shares 1.18 % Nestle SA 1.08 % Samsung Electronics Co Ltd 1.05 % DJIA, is! Stock, Mutual fund, Investment Research assess whether the fund is adequate. 5,678, up nearly 3.7 % 5.86 % ( calculated using TTM income statement data ) whether! Posición de liquidez de la empresa of alibaba Group Holding Ltd. is significantly lower than its historical average! Of 12-31-19 Port Avg Benchmark Standard Deviation 13.27 13.26 Sharpe ratio 0.96 1.09 Information ratio -0.64 % is 5.90.! Ratio alibaba morningstar key ratios % Morningstar Category Foreign Large Blend Morningstar Overall Rating™ Sustainability returns! Increíblemente solvente y Amazon tiene una relación equilibrada en su endeudamiento > Key Takeaways predictor of.. Average rate of decline per year is -9.8 % consumer-to-consumer ) and Tmall ( business-to-consumer ) la...

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alibaba morningstar key ratios