Top Markets
Coin of the day
Ocwen Financial Corporation Ocwen Financial Corporation

Ocwen Financial Corporation

OCN
Rangering i aksjer #19118
Ocwen Financial Corporation functions as a financial services firm,... Ocwen Financial Corporation functions as a financial services firm, specializing in the creation and administration of mortgage loans. Its operations span the United States, the U.S. Virgin Islands, India, and the Philippines. The company's business structure is divided into two primary segments: Servicing and Originations. Within its Servicing division, Ocwen provides a comprehensive array of services, including commercial mortgage servicing, specialized servicing, and asset management. For residential mortgages, this encompasses various loan types such as forward, reverse, conventional, government-insured, and non-agency loans, primarily assisting holders of mortgage loans and foreclosed properties. The Originations segment is responsible for generating and acquiring conventional and government-insured residential mortgages, both traditional and reverse. These activities are conducted through correspondent lending alliances, broker networks, and direct retail channels. Established in 1988 and based in West Palm Beach, Florida, Ocwen Financial Corporation largely conducts its business under the PHH Mortgage and Liberty Reverse Mortgage brands.
Aksjekurs
$22.60
Sist synkronisert: 2024-07-05
Markedsverdi
$174.28M
Endring (1 dag)
-3.75%
Endring (1 år)
0.00%
Land
US
Handel Ocwen Financial Corporation (OCN)
P/E-forhold for Ocwen Financial Corporation (OCN)
P/E-forhold per August 2026 TTM: 1.41
Ifølge Ocwen Financial Corporation sine siste finansielle rapporter og aksjekurs er selskapets nåværende P/E-forhold (TTM) 1.41. Ved slutten av 2023 hadde selskapet en P/E på -2.95.
P/E-forholdshistorikk for Ocwen Financial Corporation fra 2000 til 2026
P/E-forhold ved slutten av hvert år
År P/E-forhold Endre
2026 (TTM) 1.41 -80.09%
2024 7.08 -339.64%
2023 -2.95 -135.62%
2022 8.29 -32.50%
2021 12.29 -329.03%
2020 -5.36 245.17%
2019 -1.55 -49.93%
2018 -3.10 90.76%
2017 -1.63 59.52%
2016 -1.02 22.35%
2015 -0.83 81.55%
2014 -0.46 -161.92%
2013 0.74 -39.03%
2012 1.22 -44.52%
2011 2.19 -49.46%
2010 4.34 -99.00%
2009 432.98 5,470.44%
2008 7.77 191.11%
2007 2.67 433.70%
2006 0.50 -92.71%
2005 6.86 266.28%
2004 1.87 -91.90%
2003 23.13 -1,537.92%
2002 -1.61 81.68%
2001 -0.89 -101.62%
2000 54.78 0.00%
P/E-forhold for lignende selskaper eller konkurrenter
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.