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Shekhawati Poly-Yarn Limited Shekhawati Poly-Yarn Limited

Shekhawati Poly-Yarn Limited

SPYL
株式のランク #15275
Shekhawati Poly-Yarn Limited is an Indian company dedicated to the production... Shekhawati Poly-Yarn Limited is an Indian company dedicated to the production and sale of polyester texturized and twisted yarns. Its diverse product line includes roto, weft, micro, full dull, cationic, twisted TPM, and dyed yarns, in addition to various knitted fabrics. These versatile materials are widely utilized in the weaving process to create textiles for items such as suiting, shirting, dress materials, saris, hosiery, and knitted garments. They also play a crucial role in manufacturing zipper fasteners, curtains, and industrial cloth products, as well as supplying fancy yarns for apparel and upholstery. Established in 1990 and headquartered in Mumbai, India, the company also maintains a significant international presence, exporting its offerings to countries including Argentina, Israel, Morocco, Brazil, Jordan, Peru, Canada, Kenya, Thailand, Egypt, Mexico, Turkey, Bangladesh, Belgium, Sri Lanka, Indonesia, Vietnam, Colombia, Venezuela, Ethiopia, and Poland.
株価
$1.05
最終同期: 2024-09-03
時価総額
$362.14M
変化(1日)
-0.03%
変化(1年)
0.00%
IN
取引 Shekhawati Poly-Yarn Limited (SPYL)

カテゴリー

Shekhawati Poly-Yarn Limited(SPYL)のP/E比率
September 2026 時点のP/E比率 TTM 4.42
Shekhawati Poly-Yarn Limited の最新の財務報告および株価によると、現在の P/E (TTM) は 4.42 です。2023 年末時点での P/E は -10.58 でした。
Shekhawati Poly-Yarn Limited の P/E 比率の履歴(2008 〜 2026)
各年末のP/E比率
P/E比率 変化
2026 (TTM) 4.42 -10.18%
2024 4.92 -146.56%
2023 -10.58 -11.99%
2022 -12.02 -0.28%
2021 -12.05 268.92%
2020 -3.27 -74.77%
2019 -12.95 29.04%
2018 -10.04 242.04%
2017 -2.93 -18.74%
2016 -3.61 -114.69%
2015 24.58 -58.55%
2014 59.31 -70.93%
2013 204.02 55.53%
2012 131.18 13.45%
2011 115.62 382.93%
2010 23.94 -43.59%
2009 42.45 -36.31%
2008 66.64 0.00%
類似企業や競合他社のP/E比率
企業 P/E比率 P/E比率の差
- -
SE
21.56 387.89%
US
11.98 170.99%
CN
20.39 361.50%
IT
23.61 434.39%
PL
P/E比率の読み方

株価収益率(P/E Ratio)は、企業の株価と1株あたり利益の関係を示します。
低いが正のP/Eは、現在の評価額に対して高い利益を上げている企業を示し、割安と見なされる可能性があります。高い負の(0に近い)P/Eは、損失が大きいことを示します。

P/Eが30を超えるか、負である企業は一般に「成長株」と見なされ、投資家は将来的な成長または黒字化を期待しています。

10未満の正のP/Eを持つ企業は一般に「割安株」と見なされ、既に収益性が高いが成長の余地は小さいと見なされます。