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Gunsynd Plc Gunsynd Plc

Gunsynd Plc

GUN
Clasificación en acciones #20615
Gunsynd Plc is a private equity firm that specializes in buyout and project... Gunsynd Plc is a private equity firm that specializes in buyout and project investments. The firm seeks to invest in natural resource and energy sector. The firm may make investments in all types of assets and there will be no investment restrictions on the type of investment that the company might make or the type of opportunity that may be considered. It seeks to invest specifically in Europe; however, it can consider investments in other regions if they are considered to be profitable by the board. The Firm may take any possible opportunity in the world. It also specializes in direct acquisitions, farm-ins, partnerships; earn – in joint ventures, debt of other loan structures, joint ventures direct or indirect interests in assets of projects. The firm might seek the both, minority and majority stake position in its investments and can indulge in multiple investments. The average holding period of the firm's investments is generally for medium to long term range, however it can also dispose its assets if there is an opportunity to make shareholders value. The firm may be active of passive investor depending upon the situation. The firm was formerly known as Evocutis plc and changed its name to Gunsynd Plc in August 2016. Gunsynd Plc was founded in 2005 and is based in London, the United Kingdom.
Precio por acción
$0.0011566
Capitalización bursátil
$17.07K
Cambio (1 día)
-10.53%
Cambio (1 año)
-22.63%
País
GB
Comercio Gunsynd Plc (GUN)
Ratio P/E de Gunsynd Plc (GUN)
Ratio P/E al July 2026 TTM: 0.00
Según los últimos informes financieros y el precio de las acciones de Gunsynd Plc, el P/E actual (TTM) de la empresa es 0.00. Al final de 2024, la empresa tenía un P/E de -0.94.
Historial del ratio P/E de Gunsynd Plc desde 2004 hasta 2026
Relación P/E al final de cada año
Año Ratio P/E Cambiar
2026 (TTM) 0.00 -100.09%
2025 -2.65 182.71%
2024 -0.94 8.64%
2023 -0.86 -0.46%
2022 -0.87 -140.01%
2021 2.16 -396.30%
2020 -0.73 -60.08%
2019 -1.83 -2.33%
2018 -1.87 -173.44%
2017 2.55 -459.37%
2016 -0.71 -73.09%
2015 -2.64 41.56%
2014 -1.86 -62.14%
2013 -4.92 283.43%
2012 -1.28 -72.78%
2011 -4.71 -17.83%
2010 -5.73 2.64%
2009 -5.59 58.07%
2008 -3.53 -31.64%
2007 -5.17 -35.08%
2006 -7.96 -69.77%
2005 -26.35 -83.73%
2004 -161.93 0.00%
Relación P/E para empresas similares o competidores
Empresa P/E Ratio Diferencia del P/E Ratio País
25.42 1,059,062.50%
US
31.86 1,327,266.67%
US
6.34 264,233.33%
SE
82.52 3,438,129.17%
CA
30.86 1,285,745.83%
US
¿Cómo leer un P/E ratio?

El ratio Precio/Beneficio (P/E Ratio) mide la relación entre el precio de las acciones de una empresa y sus beneficios por acción.
Un P/E bajo pero positivo indica una empresa con altos beneficios en relación a su valoración actual y que podría estar infravalorada. Una empresa con un P/E negativo alto (cerca de 0) indica fuertes pérdidas en comparación con su valoración.

Las empresas con un P/E superior a 30 o negativo suelen considerarse "acciones de crecimiento", lo que significa que los inversores esperan que crezca o se vuelva rentable en el futuro.

Las empresas con un P/E positivo inferior a 10 suelen considerarse "acciones de valor", lo que significa que ya son muy rentables y no se espera un fuerte crecimiento.