Marr SpA - 股票

Marr SpA 市盈率 2024

Marr SpA 市盈率

15.15

股票代码

MARR.MI

ISIN

IT0003428445

WKN

A0ERXE

截至 ,Marr SpA 的市盈率为 15.15,与上一年的市盈率20.66相比,变动了 -26.67%

Marr SpA 市盈率 历史

Marr SpA Aktienanalyse

Marr SpA在做什么?

Marr SpA is an Italian company specializing in the distribution of products for the gastronomy industry. The company was founded in 1947 and has since undergone remarkable development. With over 70 years of experience in the industry, Marr SpA is now one of the leading providers in Europe. The company is headquartered in Milan and has distribution branches in 24 countries worldwide. The business model consists of providing high-quality products for gastronomy establishments such as restaurants, hotels, bars, and catering companies. Marr SpA offers a wide range of products, including food, kitchen equipment, and cleaning supplies. The company also follows a sustainable procurement strategy and is committed to protecting the environment and society. The products are selected and tested for their sustainability, and sales processes are designed with sustainability in mind. Marr SpA operates several divisions in the industry. The Food division includes a wide range of food products, such as fresh fruits and vegetables, meat, fish, cheese, and flour products. The assortment is covered by various brands such as King's Garden, Lombarda, and Tilbury. The Kitchen Equipment division offers a variety of professional kitchen appliances and accessories for the gastronomy industry. The range includes refrigerators, freezers, ovens, grills, and tableware. The Cleaning division provides cleaning products and machines specifically designed for gastronomy establishments. Special attention is paid to gentle cleaning of surfaces and equipment to ensure the highest level of hygiene. In addition, Marr SpA also provides a platform for training and consulting professionals in the gastronomy sector. Courses and seminars are offered for chefs and gastronomes in various areas such as food ethnology, hygiene and cleaning, or dealing with guests and customers. Marr SpA also has a strong international presence. The company operates branches in France, Belgium, Germany, Spain, and Denmark, and maintains partnerships with companies in other parts of the world. The company is always open to new partnerships and collaborations that can expand and improve its offerings. Overall, Marr SpA has an impressive success story and shows that consistent market orientation and a strong focus on sustainability, customer communication, and innovation can lead to a successful business. With its wide range of products and services, the company is tailored to the needs of the gastronomy industry and remains an important partner for this industry. Marr SpA ist eines der beliebtesten Unternehmen auf Eulerpool.com.

市盈率的详细信息

Marr SpA的市盈率解析

Marr SpA的市盈率(P/E)是投资者和分析师用来确定公司市值与其盈利的关键指标。它是通过将当前的股票价格除以每股收益(EPS)来计算的。较高的市盈率可能意味着投资者期望有更高的未来增长,而较低的市盈率可能表示公司可能被低估,或者增长预期可能较低。

年度比较

以年度为基础审查Marr SpA的市盈率可以提供对估值趋势和投资者情绪的见解。市盈率的年度增长表明投资者的信心和对未来盈利增长的期望正在增强,而市盈率的下降可能反映了对公司盈利能力或增长前景的担忧。

对投资的影响

Marr SpA的市盈率是投资者在衡量风险和回报时的关键考虑因素。结合其他财务指标进行全面分析,有助于投资者就购买、持有或出售公司股票做出明智决定。

解读市盈率波动

Marr SpA的市盈率波动可能归因于各种因素,包括盈利的变化、股价的移动以及投资者预期的变化。理解这些波动背后的原因是预测未来股票表现和评估公司内在价值的关键。

关于Marr SpA股票的常见问题

Marr SpA的市盈率是多少?

Marr SpA的市盈率目前为15.15。

Marr SpA的市盈率与去年相比有何变化?

Marr SpA的市盈率与去年相比增加了-26.67% 下降

对投资者来说,高的股价收益比有什么后果?

一个高的市盈率表明该公司的股票相对昂贵,投资者可能会获得较低的回报。

什么是低市盈率?

一个低的市盈率意味着公司的股票相对便宜,投资者可能会获得更高的收益。

Marr SpA的市盈率与其他公司相比是否高?

是的,与其他公司相比,Marr SpA的市盈率较高。

Marr SpA的市盈率上升会对公司产生什么影响?

如果Marr SpA的市盈率提高,将导致公司市值提升,从而导致公司估值提高。

Marr SpA的市盈率降低对公司会产生什么影响?

Marr SpA的市盈率降低将导致公司市值降低,从而导致公司估值降低。

Marr SpA的市盈率受哪些因素影响?

影响Marr SpA的市盈率的一些因素包括公司增长、公司的财务状况、行业发展和总体经济状况。

Marr SpA支付多少股息?

在过去的12个月中,Marr SpA支付了0.38 EUR 的股息。这相当于大约3.17 %的股息收益率。在未来的12个月内,Marr SpA预计将支付0.38 EUR的股息。

Marr SpA的股息收益率有多高?

Marr SpA当前的股息收益率为3.17 %。

Marr SpA什么时候支付股息?

Marr SpA按季度支付股息。这些股息将在, , , 月份分发。

Marr SpA的股息有多安全?

Marr SpA 在过去6年里每年都支付了股息。

Marr SpA的股息有多高?

预计未来12个月的股息将达到0.38 EUR。这相当于3.17 %的股息收益率。

Marr SpA位于哪个行业?

Marr SpA 被分配到“非周期性消费”板块。

Wann musste ich die Aktien von Marr SpA kaufen, um die vorherige Dividende zu erhalten?

要获得Marr SpA在支付的0.6 EUR的最后一笔股息,你必须在的除息日之前持有该股票于你的账户中。

Marr SpA最后一次支付股息是什么时候?

上一次股息发放日期为。

Marr SpA在2023年的股息是多少?

在2023年,Marr SpA 分配了0.47 EUR作为股息。

Marr SpA 的股息是以哪种货币支付的?

Marr SpA的股息将以EUR的形式分配。

股票储蓄计划为投资者提供了一种吸引人的方法,可以长期累积财富。主要优势之一是所谓的成本平均效应:通过定期投入固定金额于股票或股票基金,当价格低时自动买入更多份额,价格高时买入较少,这可能随着时间带来更优惠的平均每份成本。此外,股票储蓄计划还允许小额投资者接触到高价股票,因为他们可以用很小的金额参与其中。定期投资也促进了一种纪律投资策略,并有助于避免情绪化的决策,如冲动买卖。除此之外,投资者还能从股票的潜在增值以及可以再投资的股息分红中获益,这增强了复利效应,从而增加了投资资本的增长。

Andere Kennzahlen von Marr SpA

我们对Marr SpA 营业额股票的股票分析包括重要的财务指标,如收入、利润、市盈率、市销率、息税折旧摊销前利润,以及有关股息的信息。此外,我们还研究了诸如股票、市值、债务、股东权益和Marr SpA 营业额的负债等方面。如果您在寻找关于这些主题的更详细信息,我们在子页面上提供了详细的分析: