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Investment Company reports declining NAV and plans strategic realignment
As at 31 December 2025 Investment Company reported a Net Asset Value of 78.14p per ordinary share, a decline of 1.86% versus 30 June 2025; equity fell 1.85% over the half-year to £7,178,298. The ordinary share rose 7.09% to 68.00p, reducing the discount to NAV from 20.25% to 12.98%. The board has entered a framework agreement with Dowgate Wealth Limited on a new portfolio manager, a new investment strategy, a buyback offer for shareholders and a recapitalisation. No dividends were paid; the half-year report has been filed with the National Storage Mechanism and is available on the company website. » Más en de.investing.com
Dividendos históricos Dividendos
Todas las métricas de dividendos Todas las métricasDatos financieros de la empresa
| (EUR) | dic 2025 | |
|---|---|---|
| Ingresos | 68,99 mil | - |
| Beneficio bruto | 68,99 mil | - |
| Beneficio neto | -155,23 mil | - |
| EBITDA | -155,77 mil | - |
Datos fundamentales
| Métrica | Valor |
|---|---|
Capitalización bursátil | 8,32 M € |
Número de acciones | 9,19 M |
Máximo/mínimo de 52 semanas | 0,95 € - 0,00724 € |
| Dividendos | No |
Beta | 0,22 |
Ratio P/E | -25,66 |
Ratio PEG | 0,25 |
Ratio P/B | 0,99 |
Ratio P/S | 59,39 |
Perfil de la empresa
| Nombre | INVESTMENT CO. LS -,10 |
| CEO | Gervais Peter Englesbe Williams |
| Empleados | 1 |
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