Net Debt per Share společnosti IGO (IGO.AX) k 10. 3. 2026.
IGO Net Debt per Share
Net Debt per Share
0AUD
Naposledy aktualizováno: 10. 3. 2026
Net Debt per Share společnosti IGO činí 2026 0 AUD. Net Debt per Share společnosti IGO činila 2025 0 AUD. Klesá tak o % nižší než v předchozím roce.
IGO Analýza akcií
Co dělá IGO? IGO Ltd was founded in 1945 and has since had a long history in the production and distribution of promotional items and merchandising products. The company is based in the Netherlands and is now an internationally operating company with a wide product portfolio and various business areas.
IGO Ltd's business model is based on the production and distribution of high-quality promotional items tailored to the needs of customers. The company specializes in producing promotional items that are not only attractive and functional but also generate high recognition and brand awareness.
IGO Ltd operates various business areas specializing in the production and distribution of promotional items. These include textiles, office supplies, electronics, outdoor products, household items, and stationery. In these areas, the company offers a wide range of promotional items ranging from T-shirts to pens, USB sticks, and tote bags.
The company follows a sustainable business strategy and ensures that products are produced in an environmentally friendly manner and sourced sustainably. IGO Ltd also stands for high-quality standards and places great importance on customer satisfaction. This is reflected in the long list of customers who rely on IGO Ltd's services to optimize their advertising measures.
In recent years, IGO Ltd has also focused more on online commerce and operates its own e-commerce platform. This platform offers customers an easy way to browse and order promotional items in various categories. The company offers special features such as the option to have products printed with the customer's logo or order customized packaging.
Overall, IGO Ltd stands out for its wide range of products, high quality and customer satisfaction, as well as its sustainable corporate orientation. With its focus on promotional items and merchandising products, the company is an important partner for businesses looking to increase brand awareness and improve customer loyalty. IGO je jednou z nejpopulárnějších společností na Eulerpool.com.
Často kladené otázky k akcii IGO
Na Eulerpool najdete kompletní historický vývoj IGO společnosti Net Debt per Share od roku 2006 – s ročními hodnotami, grafy a podrobnými analýzami.
Other — IGO
Akciové spořicí plány nabízí atraktivní možnost pro investory, jak dlouhodobě budovat jmění. Jednou z hlavních výhod je takzvaný průměrovací efekt nákladů: Pravidelnou investicí fixní částky do akcií nebo akciových fondů se automaticky nakupuje více podílů, když jsou ceny nízké, a méně, když jsou vysoké. To může vést k výhodnější průměrné ceně za podíl v průběhu času. Akciové spořicí plány navíc umožňují i malým investorům přístup k drahým akciím, protože se mohou zúčastnit už s malými částkami. Pravidelná investice také podporuje disciplinovanou investiční strategii a pomáhá vyhýbat se emočním rozhodnutím, jako je impulzivní nákup nebo prodej. Kromě toho investoři profitují z potenciálního zhodnocení akcií a z výplat dividend, které mohou být reinvestovány, což zvyšuje efekt složeného úroku a tím růst investovaného kapitálu.
All Key Metrics — IGO
Valuation
Income Statement
Margins
Balance Sheet
- Total Assets
- Current Assets
- Cash & Equivalents
- Receivables
- Inventory
- Property, Plant & Equipment
- Goodwill
- Intangible Assets
- Vlastní kapitál
- Závazky
- Zadlužení
- Current Liabilities
- Long-term Debt
- Short-term Debt
- Retained Earnings
- Book Value per Share
- Tangible Book Value per Share
- Working Capital
- Investments
- Accounts Payable
- Non-Current Assets
- Short-Term Investments
- Long-Term Investments
- Net Debt
- Treasury Stock
- Minority Interest
- Deferred Tax Liabilities
- Net Tangible Assets
- Goodwill/Assets
- Intangibles/Assets
Cash Flow
- Operating Cash Flow
- Capital Expenditures
- Free Cash Flow
- FCF per Share
- Dividends Paid
- Share Buybacks
- Investing Cash Flow
- Financing Cash Flow
- CapEx / Revenue
- Cash Flow per Share
- Stock-Based Compensation
- Change in Working Capital
- Acquisitions (Net)
- Net Change in Cash
- CapEx/OCF
- FCF/Net Income
- FCF Conversion
- Cash Conversion
- Total Shareholder Payout
- CapEx/D&A
Profitability
- ROE
- ROA
- ROCE
- ROIC
- Asset Turnover
- Inventory Turnover
- Receivables Turnover
- Days Sales Outstanding
- Days Inventory Outstanding
- Days Payable Outstanding
- Cash Conversion Cycle
- CROIC
- Gross Profit/Assets
- Fixed Asset Turnover
- Equity Turnover
- Working Capital Turnover
- Payables Turnover
- Capital Intensity
- Receivables/Revenue
- Inventory/Revenue
- EBIT/Assets
Leverage
Growth
- Revenue Growth
- Revenue CAGR 3Y
- Revenue CAGR 5Y
- Revenue CAGR 10Y
- Earnings Growth
- EPS Growth
- EBIT Growth
- EBIT CAGR 3Y
- EBIT CAGR 5Y
- EBIT CAGR 10Y
- Dividend Growth
- FCF Growth
- Book Value Growth
- Earnings CAGR 3Y
- Earnings CAGR 5Y
- Earnings CAGR 10Y
- EPS CAGR 3Y
- EPS CAGR 5Y
- EBITDA Growth YoY
- EBITDA CAGR 3Y
- EBITDA CAGR 5Y
- Gross Profit Growth
- OCF Growth YoY
- Employee Growth
- Dividend CAGR 3Y
- Dividend CAGR 5Y
- Dividend CAGR 10Y
- Asset Growth
- Equity Growth
- Debt Growth
- CapEx Growth
- FCF CAGR 3Y
- FCF CAGR 5Y
- Market Cap Growth
- Share Count Growth