Caspar Asset Management (CSR.WA) Stock Price

Caspar Asset Management Price

GPW·CLOSED
7.70
​
Market closed

Revenue has compounded at 26.9% per year over the past 15 years to 49.27 M PLN. Earnings per share have grown at 11.1% per year over the last 14 years. Caspar Asset Management's net margin stands at 4.7%, down from 22.6% several years earlier. Caspar Asset Management currently offers a dividend yield of about 1.30%. The payout ratio is around 43% of earnings. The dividend has grown at 1.6% per year over the past 11 years.

Caspar Asset Management stock price

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Caspar Asset Management business model & stock analysis

Caspar Asset Management SA engages in the provision of financial services. The company is headquartered in Poznan, Woj. Wielkopolskie. The company went IPO on 2011-12-08. The firm is engaged in asset management by investing on the capital markets, in particular in shares and debt securities. The Company’s services are directed to individuals and institutional investors who wish to invest in Central and Eeaster European Markets. The company offers both equity strategies as well as balanced strategies. As of December 31, 2011, the Company operated two wholly owned subsidiaries, Caspar Towarzystwo Funduszy Inwestytcyjnych SA and F-Trust SA.

Frequently asked questions about Caspar Asset Management

Converted at the current exchange rate, the Caspar Asset Management share trades at 1.76 EUR (7.70 PLN).

The Caspar Asset Management share (CSR.WA) is listed on 3 stock exchanges, including: Frankfurt (6QA.F).

The revenue cannot currently be calculated for Caspar Asset Management.

The profit cannot currently be calculated for Caspar Asset Management.

The P/E ratio cannot be calculated for Caspar Asset Management at the moment.

The P/S cannot be calculated for Caspar Asset Management currently.

The Eulerpool Quality Score for Caspar Asset Management is 5/10.

The ISIN of Caspar Asset Management is PLCSPAM00017. The ISIN (International Securities Identification Number) is a globally unique identifier for securities.

The WKN of Caspar Asset Management is A1J101. The WKN (Wertpapierkennnummer) is a six-digit German security identification number.

The ticker of Caspar Asset Management is CSR.WA. The ticker symbol is used to trade Caspar Asset Management shares on the stock exchange.

Fair ValueTerminal
6.55 PLN
Over-/UndervaluationTerminal
Fairly valued
Sector
Industry
Capital Markets
Number of shares
Employees
Revenue growth Ø5 years
EBIT growth Ø5 years
Net Income growth Ø5 years
Country
Poland
Currency
PLN
Initial public offering
Dec 8, 2011
ISIN
PLCSPAM00017
Cusip
X1162G100
Market capitalization
75.92 M PLNMicro Cap
52-Week Range
PEG
—
P/E ratio
P/Ee
—
P/S
P/Se
—
EV/EBIT
21.09
P/B Ratio
2.66
ROE (Return on Equity)
ROA (Return on Assets)
ROCE (Return on Capital Employed)
ROIC (Return on Invested Capital)
6.76 %
Dividend
Dividend yield
1.30 %
Payout Ratio
43.28 %
Dividend growth Ø5Y
-29.15 %
Dividend payments per year
1
Dividend paid since
12 years
Dividend not reduced since
0 years
Dividend increased since
0 years
Dividend withholding tax
19.00 %
Last updated Oct 10, 2026, 2:03 AM

Caspar Asset Management Peer Group

Caspar Asset Management Ticker

FRANKFURT · 6QA.FWARSAW · CSR.WAWSE · CSR.WA

Caspar Asset Management FIGI

CSR:PW · BBG001Y6H0V3CSRPLN:XS · BBG00PPZZHD9CSRPLN:XH · BBG00PPZZHH5CSRPLN:XF · BBG00PPZZHK1CSRPLN:XD · BBG00PPZZHL0CSRPLN:XE · BBG00PPZZHM9CSRPLN:XJ · BBG00PPZZHN8CSRPLN:XL · BBG00PPZZHP6CSRPLN:XG · BBG00PPZZHQ5CSRPLN:XO · BBG00PPZZHR4CSRPLN:XN · BBG00PPZZHS3CSRPLN:XA · BBG00PPZZHW8