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London Stock Exchange Group plc London Stock Exchange Group plc

London Stock Exchange Group plc

LNSTY
Rangering i aksjer #99999
London Stock Exchange Group plc engages in the market infrastructure business... London Stock Exchange Group plc engages in the market infrastructure business primarily in the United Kingdom, the United States, other European countries, Asia, and internationally. The company operates through three segments: Data & Analytics, Capital Markets, and Post Trade. It operates a range of international equity, fixed income, exchange-traded funds/exchange-trading, and foreign exchange markets, including London Stock Exchange, AIM, Turquoise, CurveGlobal, FXall, and Tradeweb. The company also provides information and data products, such as indexes, benchmarks, real time pricing data and trade reporting, and reconciliation services, as well as network connectivity and server hosting services; market trading services; and clearing, risk management, capital optimization, and regulatory reporting solutions. In addition, it offers media training, events space, and studio hire services. Further, the company licenses capital markets; installs software; and provides maintenance services. London Stock Exchange Group plc was founded in 1698 and is headquartered in London, the United Kingdom.
Aksjekurs
$28.34
Markedsverdi
$14.99B
Endring (1 dag)
1.11%
Endring (1 år)
-21.43%
Land
GB
Handel London Stock Exchange Group plc (LNSTY)
P/E-forhold for London Stock Exchange Group plc (LNSTY)
P/E-forhold per March 2026 TTM: 35.71
Ifølge London Stock Exchange Group plc sine siste finansielle rapporter og aksjekurs er selskapets nåværende P/E-forhold (TTM) 35.71. Ved slutten av 2023 hadde selskapet en P/E på 65.82.
P/E-forholdshistorikk for London Stock Exchange Group plc fra 2001 til 2026
P/E-forhold ved slutten av hvert år
År P/E-forhold Endre
2026 (TTM) 35.71 -59.25%
2024 87.64 33.16%
2023 65.82 30.82%
2022 50.31 -37.79%
2021 80.88 -51.10%
2020 165.40 65.42%
2019 99.99 119.62%
2018 45.53 14.21%
2017 39.87 -43.29%
2016 70.30 23.62%
2015 56.87 -16.55%
2014 68.14 106.81%
2013 32.95 209.18%
2012 10.66 -63.93%
2011 29.54 -30.13%
2010 42.28 -569.76%
2009 -9.00 -123.31%
2008 38.62 -37.17%
2007 61.46 -23.52%
2006 80.36 113.96%
2005 37.56 26.27%
2004 29.74 4.05%
2003 28.58 -41.99%
2002 49.27 -61.86%
2001 129.19 0.00%
P/E-forhold for lignende selskaper eller konkurrenter
Selskap P/E-forhold Forskjell i P/E-forhold Land
28.51 -20.16%
US
27.69 -22.46%
US
27.52 -22.94%
US
31.11 -12.89%
US
28.57 -19.99%
HK
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.