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Carmila S.A. Carmila S.A.

Carmila S.A.

CARM
Rangering i aksjer #3970
The third listed company of shopping centres in Continental Europe, Carmila was... The third listed company of shopping centres in Continental Europe, Carmila was created by Carrefour and major institutional investors to transform and enhance the shopping centres adjoining Carrefour stores in France, Spain and Italy. As of 30 June 2020, its portfolio consisted of 215 shopping centres, leaders in their catchment area, valued at 6.2 billion euros. Putting proximity at the heart of all its actions, Carmila aims to simplify life and improve the daily lives of merchants and customers in the heart of all territories. Driven by a true commercial culture, its teams integrate all the expertise dedicated to the attractiveness of its assets: operations, center management, marketing, local digital marketing, new business and CSR. Carmila is listed in Compartment A on Euronext-Paris under the symbol CARM. It benefits from the regime of listed real estate investment companies ("SIIC"). On September 18, 2017, Carmila joined the FTSE EPRA/NAREIT Global Real Estate (EMEA Region) indices. On September 24, 2018, Carmila joined the Euronext CAC Small, CAC Mid Small and CAC All-tradable indices.
Aksjekurs
$19.95
Markedsverdi
$2.77B
Endring (1 dag)
0.24%
Endring (1 år)
1.59%
Land
FR
Handel Carmila S.A. (CARM)

Kategori

Driftsmargin for Carmila S.A. (CARM)
Driftsmargin per July 2026 TTM: 60.99%
Ifølge Carmila S.A. sine siste økonomiske rapporter og aksjekurs er selskapets nåværende driftsmargin (TTM) 60.99%. Ved slutten av 2023 hadde selskapet en driftsmargin på 17.51%.
Historikk for driftsmargin for Carmila S.A. fra 2004 til 2026
Driftsmargin ved slutten av hvert år
År Driftsmargin Endre
2026 (TTM) 60.99% -26.39%
2024 82.85% 373.16%
2023 17.51% -72.21%
2022 63.01% 19.54%
2021 52.71% 8.03%
2020 48.79% -20.71%
2019 61.53% -0.98%
2018 62.14% -15.27%
2017 73.34% -4.73%
2016 76.98% -65.09%
2015 220.48% -18.33%
2014 269.95% 446.24%
2013 49.42% -92.23%
2012 635.85% 871.21%
2011 65.47% -19.43%
2010 81.26% 3.07%
2009 78.84% 0.00%
2008 0.00% 0.00%
2007 0.00% 0.00%
2006 0.00% 0.00%
2005 0.00% 0.00%
2004 0.00% 0.00%
Driftsmargin for lignende selskaper eller konkurrenter
Selskap Driftsmargin Forskjell i driftsmargin Land
48.28% -99.21%
US
29.27% -99.52%
US
36.08% -99.41%
US
69.45% -98.86%
FR
47.19% -99.23%
US
Hva er selskapets Driftsmargin?
Driftsmargin er en nøkkelindikator for å vurdere lønnsomheten til et selskap. Høyere Driftsmargins er vanligvis bedre, da de viser at selskapet kan selge sine produkter eller tjenester for mye mer enn produksjonskostnadene. Driftsmargin beregnes ved å dele selskapets inntjening med inntektene.