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London Stock Exchange Group plc London Stock Exchange Group plc

London Stock Exchange Group plc

LNSTY
Hisse Senetlerindeki Sıralama #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.
Hisse Fiyatı
$28.34
Piyasa Değeri
$14.99B
Değişim (1 gün)
1.11%
Değişim (1 yıl)
-21.43%
Ülke
GB
Ticaret London Stock Exchange Group plc (LNSTY)
London Stock Exchange Group plc (LNSTY) için Faaliyet Marjı
March 2026 itibarıyla Faaliyet Marjı TTM: 23.24%
London Stock Exchange Group plc şirketinin en son finansal raporlarına ve hisse fiyatına göre, mevcut faaliyet marjı (TTM) 23.24%'dir. 2023 yılı sonunda şirketin faaliyet marjı 16.36% idi.
London Stock Exchange Group plc için 2001 ile 2026 arasındaki Faaliyet Marjı geçmişi
Her yıl sonunda Faaliyet Marjı
Yıl Faaliyet Marjı Değiştir
2026 (TTM) 23.24% 40.68%
2024 16.52% 0.98%
2023 16.36% -25.80%
2022 22.05% -0.90%
2021 22.25% -41.18%
2020 37.83% -5.05%
2019 39.84% 8.08%
2018 36.86% 8.03%
2017 34.12% 4.50%
2016 32.65% 6.35%
2015 30.70% -7.97%
2014 33.36% -19.26%
2013 41.32% -6.09%
2012 44.00% 4.94%
2011 41.93% 44.54%
2010 29.01% -193.67%
2009 -30.97% -163.80%
2008 48.54% -2.59%
2007 49.83% 73.56%
2006 28.71% -16.95%
2005 34.57% 0.82%
2004 34.29% 10.65%
2003 30.99% -4.29%
2002 32.38% 56.43%
2001 20.70% 0.00%
Benzer şirketler veya rakipler için Faaliyet Marjı
Şirket Faaliyet Marjı Faaliyet Marjı Farkı Ülke
42.24% -98.18%
US
64.86% -97.21%
US
38.74% -98.33%
US
44.53% -98.08%
US
81.46% -96.49%
HK
Bir şirketin Faaliyet Marjı'ı nedir?
Faaliyet Marjı, bir şirketin kârlılığını değerlendirmek için temel bir göstergedir. Daha yüksek Faaliyet Marjı değerleri genellikle daha iyidir çünkü bir şirketin ürün veya hizmetlerini üretim maliyetlerinden çok daha yüksek bir fiyata satabildiğini gösterir. Faaliyet Marjı, şirketin kârının gelirine bölünmesiyle hesaplanır.