VST Quantitative Stock AnalysisIntroduction: In this quantitative analysis, we delve into the fundamentals and valuation of Vistra Corp (VST), utilizing the Multi-Factor Investor model based on the renowned strategy of Pim van Vliet. VST, a dominant player in the Electric Utilities industry, emerges as a compelling investment opportunity through the lens of this strategy.Strategy Overview: The Multi-Factor Investor model, pioneered by Pim van Vliet, is tailored to identify low volatility stocks exhibiting robust momentum and high net payout yields. Contrary to conventional wisdom, this strategy seeks to capitalize on the paradoxical phenomenon where low-risk stocks outperform high-risk ones.Key Findings:VST secures a remarkable rating of 100% under this strategy, reflecting its solid fundamentals and attractive valuation.The stock's performance against the strategy's tests highlights its strengths and weaknesses, offering insights into its investment potential.Detailed Analysis of Vistra Corp:Industry Standing: VST operates within the Electric Utilities sector, positioning itself as a leader in the domain of large-cap growth stocks.Fundamental Strength: The strategy's evaluation underscores VST's robust underlying fundamentals, contributing significantly to its favorable rating.Valuation Assessment: VST's valuation is deemed compelling within the context of the strategy, indicating promising prospects for potential investors.Conclusion: In conclusion, Vistra Corp (VST) emerges as a compelling investment opportunity through the lens of the Multi-Factor Investor model, championed by Pim van Vliet. With its strong fundamentals, attractive valuation, and strategic positioning within the Electric Utilities industry, VST warrants attention from investors seeking optimal risk-adjusted returns.About Pim van Vliet: Pim van Vliet, the visionary behind the Conservative Equities strategy at Robeco Asset Management, challenges the traditional notion of risk and return in investing. His pioneering research into low volatility investing has reshaped the landscape of factor-based strategies, offering investors a path to superior returns with reduced risk. With a PhD in Financial and Business Economics from Erasmus University Rotterdam, van Vliet continues to be at the forefront of innovation in quantitative investing.