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Micropole S.A. Micropole S.A.

Micropole S.A.

ALMIC
Rangering i aksjer #22082
Micropole S.A. is a global consulting, engineering, and training firm operating... Micropole S.A. is a global consulting, engineering, and training firm operating across France and internationally. It specializes in developing and integrating advanced solutions designed to enhance decision support, optimize performance management, facilitate digital transformation, and ensure robust data governance. The company's extensive portfolio encompasses services for operational and financial oversight, comprehensive business intelligence (including strategic planning and intelligent BI), and in-depth data analytics. Micropole also delivers cutting-edge solutions for digital marketing, customer relationship management, customer insights, multi-device mobility, and e-commerce platforms. Furthermore, its expertise covers master data management, data quality assurance, enterprise architecture, and GDPR compliance. The firm also operates a dedicated data science platform and a cloud-based services platform, offering solutions related to cloud adoption, security, and overall cloud and data strategies. Established in 1987, the company was originally known as Micropole-Univers before adopting its current name, Micropole S.A., in July 2010. Its headquarters are situated in Levallois-Perret, France.
Aksjekurs
$3.39
Sist synkronisert: 2024-11-01
Markedsverdi
$94.74M
Endring (1 dag)
-0.05%
Endring (1 år)
0.00%
Land
FR
Handel Micropole S.A. (ALMIC)

Kategori

P/E-forhold for Micropole S.A. (ALMIC)
P/E-forhold per August 2026 TTM: 537.93
Ifølge Micropole S.A. sine siste finansielle rapporter og aksjekurs er selskapets nåværende P/E-forhold (TTM) 537.93. Ved slutten av 2022 hadde selskapet en P/E på 11.37.
P/E-forholdshistorikk for Micropole S.A. fra 2004 til 2026
P/E-forhold ved slutten av hvert år
År P/E-forhold Endre
2026 (TTM) 537.93 187.68%
2023 186.99 1,544.11%
2022 11.37 -11.02%
2021 12.78 -104.84%
2020 -263.98 -1,768.31%
2019 15.82 -40.55%
2018 26.61 -223.87%
2017 -21.49 -60.84%
2016 -54.87 -133.16%
2015 165.47 -376.13%
2014 -59.93 -408.00%
2013 19.46 -97.84%
2012 900.06 8,501.51%
2011 10.46 -74.00%
2010 40.24 2,670.12%
2009 1.45 -342.60%
2008 -0.60 -122.56%
2007 2.65 -99.33%
2006 393.66 -672.52%
2005 -68.76 1,743.90%
2004 -3.73 0.00%
P/E-forhold for lignende selskaper eller konkurrenter
Selskap P/E-forhold Forskjell i P/E-forhold Land
20.46 -96.20%
US
14.02 -97.39%
IE
- -
IN
- -
IN
- -
JP
Hvordan lese en P/E-ratio?

Pris/inntjening-forholdet (P/E) måler forholdet mellom aksjekursen og inntjening per aksje.
En lav men positiv P/E indikerer høy inntjening sammenlignet med nåværende verdsettelse, og kan tyde på at selskapet er undervurdert. En høy negativ (nær 0) P/E indikerer store tap.

Selskaper med P/E over 30 eller negativ betraktes vanligvis som "vekstaksjer", hvor investorer forventer vekst eller fremtidig lønnsomhet.

Selskaper med en positiv P/E under 10 anses vanligvis som "verdiaksjer", det vil si at selskapet allerede er lønnsomt, men har begrenset vekstpotensial.