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ECSC Group plc ECSC Group plc

ECSC Group plc

ECSC
Rank in Stocks #40861
ECSC Group plc, through its various subsidiaries, delivers a comprehensive... ECSC Group plc, through its various subsidiaries, delivers a comprehensive array of information and cybersecurity services. Its operational footprint spans the United Kingdom, continental Europe, the United States, the Channel Islands, and other international regions. The company organizes its business into three core divisions: Assurance, Managed Detection and Response, and Vendor Products. ECSC provides a broad spectrum of solutions, encompassing managed security services, expert consultancy, thorough testing, and rapid incident response capabilities. Its specific offerings include emergency incident response support, remote monitoring and management of client cyber security devices via its Security Operations Centre (SOC), and detailed cybersecurity reviews. The group also guides clients in obtaining critical certifications like ISO 27001 for information security, conducts technical penetration testing, assists with Payment Card Industry Data Security Standard (PCI DSS) compliance, and facilitates Cyber Essentials certifications. Additionally, ECSC actively develops artificial intelligence technologies. Established in 2000, ECSC Group plc is headquartered in Bradford, United Kingdom.
Share Price
$0.70212201
Last synced: 2023-06-21
Market Cap
$70.27K
Change (1 day)
4.77%
Change (1 year)
0.00%
Country
GB
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Earnings for ECSC Group plc (ECSC)
Earnings in 2026 TTM: 0
According to ECSC Group plc latest financial reports the company's current earnings are 0. In 2026 the company made an earning of 0, equal to its 2026 earnings that were of 0. The earnings displayed on this page are the earnings before interest and taxes or simply EBIT.
Earnings history for ECSC Group plc from 2026 to 2026
Earnings at the end of each year
Year Earnings Change
Not enough data for the provided dates.
Earnings for similar companies or competitors
Company Earnings Earnings Difference Country
$165.93B -
US
$19.61B -
US
$3.07B -
US
$1.40B -
US
$1.96M -
US