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Hornby PLC Hornby PLC

Hornby PLC

HRN
Clasificación en acciones #39743
Hornby PLC, operating through its various subsidiaries, specializes in the... Hornby PLC, operating through its various subsidiaries, specializes in the creation, procurement, production, and distribution of a wide array of recreational and engaging products. Its market presence spans across the United Kingdom, the United States, Spain, Italy, and other European countries. The company's diverse portfolio includes miniature railway systems, such as playtrains, comprehensive train sets, individual locomotives, passenger coaches, freight wagons, various track components, extension packs, signals, and accessory kits. It also offers both traditional analogue and advanced digital command control systems, along with related software. Furthermore, Hornby provides an assortment of building accessories like platforms, bridges, figures of people and animals, as well as finishing supplies like paints and weathering powders. Novelty items such as mystery boxes and hobby bundles are also part of their offerings. These products are sold through an extensive network of independent retailers, wholesalers, and distributors, as well as directly via the company's own e-commerce platforms. Key brands under its umbrella include Hornby, SkaleAutos, SkaleScenics, Skaledale, Arnold, Jouef, Lima, Rivarossi, Bassett-Lowke, Pocher, Corgi, Corgi Premiums, and Electrotren. Hornby PLC was established in 1907 and is headquartered in Margate, United Kingdom.
Precio por acción
$0.20410523
Última sincronización: 2025-04-09
Capitalización bursátil
$362.65K
Cambio (1 día)
11,731.22%
Cambio (1 año)
0.00%
País
GB
Comercio Hornby PLC (HRN)
Ratio P/E de Hornby PLC (HRN)
Ratio P/E al August 2026 TTM: -2.11
Según los últimos informes financieros y el precio de las acciones de Hornby PLC, el P/E actual (TTM) de la empresa es -2.11. Al final de 2023, la empresa tenía un P/E de -6.98.
Historial del ratio P/E de Hornby PLC desde 2001 hasta 2026
Relación P/E al final de cada año
Año Ratio P/E Cambiar
2026 (TTM) -2.11 -61.02%
2024 -5.42 -22.38%
2023 -6.98 -119.04%
2022 36.68 -31.93%
2021 53.89 -599.96%
2020 -10.78 18.34%
2019 -9.11 174.85%
2018 -3.31 -24.60%
2017 -4.40 29.21%
2016 -3.40 -99.64%
2015 -944.06 3,763.24%
2014 -24.44 -44.08%
2013 -43.70 -209.20%
2012 40.02 -20.63%
2011 50.42 10.41%
2010 45.66 111.44%
2009 21.60 -48.04%
2008 41.56 -42.17%
2007 71.86 54.26%
2006 46.58 -17.18%
2005 56.25 -9.67%
2004 62.27 77.74%
2003 35.03 -19.05%
2002 43.28 5.88%
2001 40.87 0.00%
Relación P/E para empresas similares o competidores
Empresa P/E Ratio Diferencia del P/E Ratio País
21.55 -1,120.21%
US
17.72 -938.78%
CN
8.62 -508.20%
IE
49.58 -2,446.58%
UY
28.19 -1,434.13%
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.