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SVM UK Emerging Fund plc SVM UK Emerging Fund plc

SVM UK Emerging Fund plc

SVM
Clasificación en acciones #99999
SVM UK Emerging Fund plc is a closed ended equity mutual fund launched and... SVM UK Emerging Fund plc is a closed ended equity mutual fund launched and managed by SVM Asset Management Limited. The fund invests in the public equity markets of the United Kingdom with a focus on Alternative Investment Markets. It invests in the stocks of companies operating across diversified sectors with focus on healthcare, technology, business services, travel and gaming. The fund primarily invests in small cap and mid cap companies. It benchmarks the performance of its portfolio against the IMA UK All Companies Sector Average Index. The fund was formerly known as SVM OFEX Fund. SVM UK Emerging Fund plc was formed on October 18, 2000 and is domiciled in the United Kingdom.
Precio por acción
$1.14
Capitalización bursátil
$68.58K
Cambio (1 día)
-6.33%
Cambio (1 año)
0.00%
País
GB
Comercio SVM UK Emerging Fund plc (SVM)
Ganancias de SVM UK Emerging Fund plc (SVM)
Ganancias en Sep 2024 TTM: $821.56K
Secondo gli ultimi rapporti finanziari di SVM UK Emerging Fund plc, gli utili attuali della società sono $821.56K. Nel 2023, la società ha registrato un utile di $-1.44M, una disminución en comparación con agli utili del 2022, che erano di $-984.67K. Gli utili mostrati in questa pagina sono quelli prima degli interessi e delle imposte, ovvero EBIT.
Historial de ganancias de SVM UK Emerging Fund plc desde 2004 hasta 2026
Ganancias al final de cada año
Año Ganancias Cambiar
2026 (TTM) $821.56K 193.11%
2024 $280.29K -119.44%
2023 $-1.44M 46.43%
2022 $-984.67K -127.63%
2021 $3.56M -269.74%
2020 $-2.10M 1,277.86%
2019 $-152.36K -110.18%
2018 $1.50M 55.57%
2017 $962.20K 82.96%
2016 $525.90K 307.67%
2015 $129.00K -93.56%
2014 $2.00M -224.94%
2013 $-1.60M 5.51%
2012 $-1.52M -183.65%
2011 $1.82M -16.20%
2010 $2.17M -221.42%
2009 $-1.79M -875.26%
2008 $230.28K -84.89%
2007 $1.52M 12.12%
2006 $1.36M 1,957.42%
2005 $66.05K -103.36%
2004 $-1.97M 0.00%
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