Marsh & McLennan Companies KGV 2024

Marsh & McLennan Companies KGV

23,88

Marsh & McLennan Companies Donosnost dividend

1,25 %

Simbol

MMC

ISIN

US5717481023

WKN

858415

Trenutno na 24. maj 2024 je bilo razmerje cena/dobiček od Marsh & McLennan Companies 23,88 , sprememba za 3,06% v primerjavi z 23,17 razmerjem cena/dobiček v prejšnjem letu.

Zgodovina Marsh & McLennan Companies KGV

Marsh & McLennan Companies Aktienanalyse

Kaj počne Marsh & McLennan Companies?

Marsh & McLennan Companies Inc (MMC) is a globally operating company in the field of risk management, insurance consulting, brokerage, and trust services. The company was founded in 1905 in Chicago and is now headquartered in New York City. Marsh & McLennan employs over 75,000 employees worldwide and operates in more than 130 countries. Business Model MMC's business focuses on advising companies and institutions on identifying, evaluating, and mitigating risks. The company offers a wide range of risk management services, including insurance consulting and risk analysis, capital consulting, employee benefits and pension programs, as well as operational risk management and compliance services. MMC is divided into four business segments: Marsh, Guy Carpenter, Mercer, and Oliver Wyman. Each business segment focuses on specific services within the company's field of business. Marsh Marsh is the largest business segment of the company and offers a wide range of insurance and risk management services. The company supports clients in identifying risks and then develops individual solutions to reduce those risks. Marsh works with clients of all sizes and industries, from small businesses to multinational corporations. Guy Carpenter Guy Carpenter is a leading provider of reinsurance services and works closely with insurers and reinsurers. The company assists clients in assessing and securing risks, as well as helping them determine their reinsurance needs and selecting appropriate products. Guy Carpenter is the world's largest reinsurance broker and serves clients in all major markets worldwide. Mercer Mercer is a leading provider of trust and employee benefit services, supporting clients in the planning and implementation of pension and other employee benefit programs. The company also offers consulting services in the areas of human resources, healthcare, and investment management. Mercer serves clients in over 130 countries worldwide. Oliver Wyman Oliver Wyman is a leading consulting firm, providing services in the areas of strategy, risk management, operations, and transformation. The company works with clients from a variety of industries and sectors, focusing on developing tailored solutions to optimize business processes. Products & Services Marsh & McLennan's offerings encompass a wide range of products and services specifically tailored to meet clients' needs. The company's key products and services include: Risk management and insurance consulting Marsh & McLennan assists companies in identifying, evaluating, and mitigating risks. The company offers a wide range of insurance products, including property, liability, personal, and travel cancellation insurance. Marsh's services also help clients evaluate and secure cyber risks as well as insurance coverage for terrorist attacks. Reinsurance services Guy Carpenter offers reinsurance services aimed at reducing insurers' risks and ensuring they are adequately insured in the event of a loss. The company provides a wide range of reinsurance products, including proportional, non-proportional, catastrophe, and specialty reinsurance. Employee benefits and pension programs Mercer supports companies in the planning and implementation of employee benefit and pension programs. The company offers a wide range of products and services, including pension and insurance plans, employee share programs, healthcare benefits, and payroll services. Consulting services Oliver Wyman offers consulting services in the areas of strategy, risk management, operations, and transformation. The company supports clients in optimizing their business processes and identifying new business opportunities. Oliver Wyman provides tailored solutions to clients from a variety of industries and sectors. Conclusion Marsh & McLennan Companies Inc is a globally operating company in the field of risk management, insurance consulting, brokerage, and trust services. The company offers a wide range of products and services specifically tailored to meet clients' needs. Marsh & McLennan serves clients in over 130 countries worldwide and is divided into four business segments. With its long history and global presence, the company has become one of the leading providers of risk management and insurance consulting. Marsh & McLennan Companies ist eines der beliebtesten Unternehmen auf Eulerpool.com.

KGV v podrobnosti

Razlaga KGV Marsh & McLennan Companies

Razmerje cena-dobiček (KGV) Marsh & McLennan Companies je ključni kazalnik, ki ga vlagatelji in analitiki uporabljajo za ocenjevanje tržne vrednosti podjetja v razmerju do njegovega dobička. Izračunamo ga tako, da trenutno ceno delnice delimo z dobičkom na delnico (EPS). Višje KGV lahko kaže na to, da vlagatelji pričakujejo višjo prihodnjo rast, medtem ko nižje KGV lahko nakazuje na potencialno podcenjeno podjetje ali nižja pričakovanja rasti.

Primerjava iz leta v leto

Ocenjevanje KGV Marsh & McLennan Companies na letni osnovi nudi vpogled v trende vrednotenja in razpoloženje vlagateljev. Naraščajoče KGV skozi leta signalizirajo rast zaupanja vlagateljev in pričakovanja o prihodnji rasti dobička, medtem ko padajoče KGV lahko odraža skrbi glede rentabilnosti ali perspektive rasti podjetja.

Posledice za naložbe

KGV Marsh & McLennan Companies je ključni razmislek za vlagatelje, ki želijo pretehtati tveganje in donos. Celovita analiza tega razmerja skupaj z drugimi finančnimi kazalniki pomaga vlagateljem pri sprejemanju informiranih odločitev o nakupu, držanju ali prodaji delnic podjetja.

Razlaga nihanj KGV

Nihanja v KGV Marsh & McLennan Companies lahko pripišemo različnim dejavnikom, vključno s spremembami v dobičku, gibanji cene delnice in spremembami v pričakovanjih vlagateljev. Razumevanje osnovnih razlogov za ta nihanja je ključnega pomena za napovedovanje prihodnje uspešnosti delnic in ocenjevanje notranje vrednosti podjetja.

Pogosta vprašanja o delnici Marsh & McLennan Companies

Kakšno je razmerje cena/dobiček podjetja Marsh & McLennan Companies?

Razmerje cena/dobiček podjetja Marsh & McLennan Companies trenutno znaša 23,88.

Kako se je razmerje cena/dobiček družbe Marsh & McLennan Companies spremenilo v primerjavi z lanskim letom?

Razmerje cena dobiček od Marsh & McLennan Companies se je v primerjavi z lanskim letom spremenilo za 3,06% narasle.

Katere posledice ima visoko razmerje med ceno in dobičkom za vlagatelje?

Visoko razmerje med ceno in dobičkom kaže, da je delnica podjetja relativno draga in da investitorji morda pričakujejo nižji donos.

Kaj pomeni nizko razmerje med ceno in dobičkom?

Nizko razmerje cena/dobiček pomeni, da je delnica podjetja relativno ugodna in vlagatelji morda lahko dosežejo višji donos.

Ali je razmerje cena/dobiček podjetja Marsh & McLennan Companies v primerjavi z drugimi podjetji visoko?

Da, razmerje cena/dobiček podjetja Marsh & McLennan Companies je v primerjavi z drugimi podjetji visoko.

Kakšen vpliv ima povišanje razmerja cena/dobiček od Marsh & McLennan Companies na podjetje?

Povišanje razmerja med ceno in dobičkom na Marsh & McLennan Companies bi pripeljalo do višje tržne kapitalizacije podjetja, kar bi posledično povzročilo višjo ocenitev vrednosti podjetja.

Kako znižanje razmerja cena/dobiček za Marsh & McLennan Companies vpliva na podjetje?

Znižanje razmerja cena/dobiček za Marsh & McLennan Companies bi privedlo do nižje tržne kapitalizacije podjetja, kar bi posledično vodilo do nižje vrednotenja podjetja.

Kateri so nekateri dejavniki, ki vplivajo na razmerje cena/dobiček pri Marsh & McLennan Companies?

Nekateri dejavniki, ki vplivajo na razmerje med ceno in dobičkom od Marsh & McLennan Companies, so rast podjetja, finančni položaj podjetja, razvoj panoge in splošne gospodarske razmere.

Koliko dividende izplača Marsh & McLennan Companies?

V zadnjih 12 mesecih je Marsh & McLennan Companies izplačal dividendo v višini 2,60 USD . To ustreza približni donosnosti dividend 1,25 %. V prihajajočih 12 mesecih bo Marsh & McLennan Companies predvidoma izplačal dividendo v višini 3,07 USD.

Kakšen je donos dividend od Marsh & McLennan Companies?

Trenutni donos od dividend za Marsh & McLennan Companies znaša 1,25 %.

Kdaj Marsh & McLennan Companies izplača dividend?

Marsh & McLennan Companies izplačuje četrtletno dividendo. Ta se izplačuje v mesecih avgust, november, februar, maj.

Kako varna je dividenda od Marsh & McLennan Companies?

Marsh & McLennan Companies je v zadnjih 25 letih vsako leto izplačeval dividend.

Kakšna je dividenda od Marsh & McLennan Companies?

V naslednjih 12 mesecih se pričakuje dividende v višini 3,07 USD. To ustreza dividendnemu donosu 1,48 %.

V katerem sektorju se nahaja Marsh & McLennan Companies?

Marsh & McLennan Companies je razvrščen v sektor 'Finančni podatki'.

Wann musste ich die Aktien von Marsh & McLennan Companies kaufen, um die vorherige Dividende zu erhalten?

Da si prejel zadnjo dividendo Marsh & McLennan Companies z dne 15. 5. 2024 v višini 0,71 USD, si moral imeti delnico v depoju pred dnevom brez pravice do dividende (Ex-Tag) 3. 4. 2024.

Kdaj je Marsh & McLennan Companies izplačal zadnjo dividendo?

Zadnje izplačilo dividende je bilo 15. 5. 2024.

Kakšna je bila dividenda od Marsh & McLennan Companies v letu 2023?

V letu 2023 je Marsh & McLennan Companies 2,25 USD izplačal kot dividende.

V kateri valuti Marsh & McLennan Companies izplača dividendo?

Dividende od Marsh & McLennan Companies se izplačujejo v USD.

Delniški varčevalni načrti ponujajo privlačno možnost za vlagatelje, da dolgoročno zgradijo premoženje. Eden glavnih prednosti je tako imenovani učinek povprečenja stroškov: Z rednim vlaganjem fiksnega zneska v delnice ali delniške sklade se avtomatsko kupi več enot, ko so cene nizke, in manj, ko so visoke. To lahko vodi do ugodnejše povprečne cene na enoto s časom. Poleg tega delniški varčevalni načrti omogočajo tudi malim vlagateljem dostop do dragih delnic, saj se lahko pridružijo že z majhnimi zneski. Redna investicija tudi spodbuja disciplinirano investicijsko strategijo in pomaga izogibati se čustvenim odločitvam, kot so impulzivno kupovanje ali prodaja. Poleg tega vlagatelji profitirajo od potencialne rasti vrednosti delnic kot tudi od izplačil dividend, ki se lahko reinvestirajo, kar povečuje učinek obrestnega obrestovanja in s tem rast investiranega kapitala.

Delnica Marsh & McLennan Companies je primerna za varčevalne načrte pri naslednjih ponudnikih: Trade Republic

Andere Kennzahlen von Marsh & McLennan Companies

Naša analiza delnic Marsh & McLennan Companies Prihodki vključuje pomembne finančne kazalnike, kot so prihodki, dobiček, razmerje cena/dobiček (KGV), razmerje cena/prihodki (KUV), EBIT ter informacije o dividendah. Prav tako preučujemo aspekte, kot so delnice, tržna kapitalizacija, dolgovi, lastniški kapital in obveznosti Marsh & McLennan Companies Prihodki. Če iščete podrobnejše informacije o teh temah, na naših podstraneh nudimo obsežne analize: