KAUFMAN ET BROAD, AXA, Another 6 Companies Have A High Estimated Dividend Yield

(VIANEWS) – KAUFMAN ET BROAD (KOF.PA), AXA (CS.PA), RANDSTAD NV (RAND.AS) have the highest dividend yield stocks on this list.

Financial Asset Forward Dividend Yield Updated (EST)
KAUFMAN ET BROAD (KOF.PA) 9.5% 2024-01-24 09:05:13
AXA (CS.PA) 5.44% 2024-01-24 08:45:52
RANDSTAD NV (RAND.AS) 4.99% 2024-01-24 08:03:32
BIC (BB.PA) 4.01% 2024-01-24 09:00:20
AKZO NOBEL (AKZA.AS) 2.87% 2024-01-24 08:00:18
BOIRON (BOI.PA) 2.62% 2024-01-24 09:00:27
REMY COINTREAU (RCO.PA) 2.23% 2024-01-24 09:21:44
ACCOR (AC.PA) 2.05% 2024-01-24 08:44:34

Several Euronext companies pay out dividends to its shareholders. The dividend yield is a dividend to price ratio showing how much a company pays out in dividends each year.

1. KAUFMAN ET BROAD (KOF.PA)

9.5% Foward Dividend Yield

KAUFMAN ET BROAD’s last close was €29.30, 4.87% below its 52-week high of €30.80. Intraday change was 0.85%.

Kaufman & Broad S.A. operates as a property developer and builder in France. It designs, develops, builds, and sells single-family homes in communities, managed residences, offices, shops, hotels, and logistics platforms and business parks. The company was founded in 1968 and is headquartered in Courbevoie, France.

Earnings Per Share

As for profitability, KAUFMAN ET BROAD has a trailing twelve months EPS of €2.99.

PE Ratio

KAUFMAN ET BROAD has a trailing twelve months price to earnings ratio of 9.88. Meaning, the purchaser of the share is investing €9.88 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 33.32%.

Revenue Growth

Year-on-year quarterly revenue growth declined by 24.5%, now sitting on 1.51B for the twelve trailing months.

Volume

Today’s last reported volume for KAUFMAN ET BROAD is 4838 which is 64.3% below its average volume of 13552.

Volatility

KAUFMAN ET BROAD’s last week, last month’s, and last quarter’s current intraday variation average was a positive 0.81%, a negative 0.30%, and a positive 1.35%.

KAUFMAN ET BROAD’s highest amplitude of average volatility was 0.81% (last week), 1.02% (last month), and 1.35% (last quarter).

More news about KAUFMAN ET BROAD.

2. AXA (CS.PA)

5.44% Foward Dividend Yield

AXA’s last close was €30.61, 5.73% higher than its 52-week high of €28.95. Intraday change was 0.47%.

AXA SA, through its subsidiaries, provides insurance, asset management, and banking services worldwide. The company operates through six segments: France, Europe, Asia, AXA XL, International, and Transversal & Central Holdings. It offers life and savings insurance products, such as savings and retirement, other health, and personal protection products. The company also provides property and casualty insurance products, including car, home, and personal or professional liability to individual and business clients; international insurance for large corporate clients in Europe; and marine and aviation insurance services, as well as property and casualty reinsurance products. In addition, it offers asset management services in the areas of various asset classes, including equities, bonds, hedge funds, private equity, and real estate for the group's insurance companies and their clients, and retail and institutional clients. Further, the company provides health, term life, whole life, universal life, endowment, and other investment-based products for personal/individual and commercial/ group customers. AXA SA was founded in 1852 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, AXA has a trailing twelve months EPS of €2.88.

PE Ratio

AXA has a trailing twelve months price to earnings ratio of 10.68. Meaning, the purchaser of the share is investing €10.68 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 10.69%.

Stock Price Classification

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, AXA’s stock is considered to be oversold (<=20).

Volatility

AXA’s last week, last month’s, and last quarter’s current intraday variation average was 0.91%, 0.18%, and 0.66%.

AXA’s highest amplitude of average volatility was 1.09% (last week), 0.62% (last month), and 0.66% (last quarter).

Volume

Today’s last reported volume for AXA is 1114440 which is 60.28% below its average volume of 2805970.

Moving Average

AXA’s value is way higher than its 50-day moving average of €27.60 and way higher than its 200-day moving average of €24.84.

More news about AXA.

3. RANDSTAD NV (RAND.AS)

4.99% Foward Dividend Yield

RANDSTAD NV’s last close was €51.08, 18.58% under its 52-week high of €62.74. Intraday change was 2.23%.

Randstad N.V. provides solutions in the field of work and human resources (HR) services. It offers temporary staffing and permanent placement services for the light industrial, office and administrative, manufacturing and logistics, and other specialty areas, as well as payroll services. The company also offers on-site solutions for managing a client's workforce with specific skill sets and a fluctuating level of demand for the fast-moving consumer goods, automotive, life sciences, contact centers, manufacturing, and logistics, as well as the administrative and professional segments. In addition, it recruits experienced staff for managerial and professional roles in a range of sectors and disciplines, including IT, engineering, finance, healthcare, HR, education, legal affairs, sales and marketing and communications. Further, the company provides managed services programs, recruitment process outsourcing, outplacement and career development, and online talent acquisition. It has operations in North America, France, the Netherlands, Germany, Belgium, Luxembourg, Italy, Iberia, other European countries, and internationally. The company was formerly known as Randstad Holding NV and changed its name to Randstad N.V. in April 2018. Randstad N.V. was founded in 1960 and is headquartered in Diemen, the Netherlands.

Earnings Per Share

As for profitability, RANDSTAD NV has a trailing twelve months EPS of €4.07.

PE Ratio

RANDSTAD NV has a trailing twelve months price to earnings ratio of 12.83. Meaning, the purchaser of the share is investing €12.83 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 16.01%.

Revenue Growth

Year-on-year quarterly revenue growth declined by 11.3%, now sitting on 26.25B for the twelve trailing months.

Earnings Before Interest, Taxes, Depreciation, and Amortization

RANDSTAD NV’s EBITDA is 0.43.

Volatility

RANDSTAD NV’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.05%, a negative 0.60%, and a positive 0.89%.

RANDSTAD NV’s highest amplitude of average volatility was 0.23% (last week), 0.92% (last month), and 0.89% (last quarter).

More news about RANDSTAD NV.

4. BIC (BB.PA)

4.01% Foward Dividend Yield

BIC’s last close was €65.45, 5.35% below its 52-week high of €69.15. Intraday change was -0.53%.

Société BIC SA manufactures and sells stationery, lighter, shaver, and other products worldwide. It offers ball and coloring felt pens, gel ink pens, markers, sticky notes, leads, whiteboards, and correction tapes, as well as graphite, coloring, mechanical, and other pencils; reusable notebooks, digital slates, and smart pens; art and craft kits; permanent and temporary tattoo markers; and pen and pencil refills. The company also provides refillable shavers and razors; and pocket, utility, and decorated lighters. In addition, it sells batteries and shaving preps; and advertising and promotional products. Further, the company is involved in the provision of delivery services; production of industrial equipment; and manufacture and distribution of IT solutions and consumer products, as well as in real estate and insurance activities. It markets its products primarily under the BIC, BIC Kids, Cello, Lucky, RocketBook, Tipp-Ex, BIC Wite-Out, Tattly, ami, DJEEP, InkBox, BIC Soleil, BIC Evolution, and BodyMark brands through a range of channels, including retail mass-market distributors, traditional stores, and office product stationers, as well as an e-commerce site. The company was founded in 1944 and is headquartered in Clichy, France.

Earnings Per Share

As for profitability, BIC has a trailing twelve months EPS of €4.36.

PE Ratio

BIC has a trailing twelve months price to earnings ratio of 14.93. Meaning, the purchaser of the share is investing €14.93 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 10.82%.

Volume

Today’s last reported volume for BIC is 6589 which is 72.73% below its average volume of 24169.

Yearly Top and Bottom Value

BIC’s stock is valued at €65.10 at 01:50 EST, below its 52-week high of €69.15 and way above its 52-week low of €51.15.

More news about BIC.

5. AKZO NOBEL (AKZA.AS)

2.87% Foward Dividend Yield

AKZO NOBEL’s last close was €69.36, 12.56% below its 52-week high of €79.32. Intraday change was 1.56%.

Akzo Nobel N.V. engages in the production and sale of paints and coatings worldwide. It offers decorative paints, including paints, lacquers, and varnishes; and a range of mixing machines and color concepts for the building and renovation industry, as well as specialty coatings. The company also provides performance coatings that protect and enhance ships, cars, aircraft, yachts, architectural components, consumer goods, and oil and gas facilities. It offers its products primarily under AkzoNobel, Alabastine, Alba, Andercol, Apla, Armstead Trade, Astral, AwlGrip, Dulux, Bruguer, Cetabever, Cetol, Chemcraft, Colourland Paints, Coral, Cromadex, Cuprinol, Dynacoat, Flexa, Glitsa, Grip-Gard, Zweihorn, Xylazel, Xyladecor, Wanda, Vpowdertech, Vivechrom, U-tech, Trimetal, Titanlux, Taubmans, Sparlack, Sikkens, Savana, and Salcomix, as well as Sadolin, Resicoat, Relest, Procolor, Polyfilla, Polycell, Pinotex, Pintuco, Oxirite, Nordsjo, Molto, Modern Classikk, Maxilite, Mauvilac, Mason CT, Marshall, Laxol, Levis, Lesonal, Interpon, International, Interlux, Innenweis, Inca, Herbol, and Hammerite brands. The company was formerly known as Akzo NV and changed its name to Akzo Nobel N.V. in 1994. Akzo Nobel N.V. was founded in 1646 and is headquartered in Amsterdam, the Netherlands.

Earnings Per Share

As for profitability, AKZO NOBEL has a trailing twelve months EPS of €2.36.

PE Ratio

AKZO NOBEL has a trailing twelve months price to earnings ratio of 29.85. Meaning, the purchaser of the share is investing €29.85 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 9.12%.

Volatility

AKZO NOBEL’s last week, last month’s, and last quarter’s current intraday variation average was a positive 0.12%, a negative 0.39%, and a positive 0.79%.

AKZO NOBEL’s highest amplitude of average volatility was 0.25% (last week), 0.57% (last month), and 0.79% (last quarter).

More news about AKZO NOBEL.

6. BOIRON (BOI.PA)

2.62% Foward Dividend Yield

BOIRON’s last close was €41.82, 25.98% below its 52-week high of €56.50. Intraday change was -1.05%.

Boiron SA manufactures and sells homeopathic medicines in France, rest of Europe, North America, and internationally. The company offers non-proprietary homeopathic medicines and homeopathic specialties; and other healthcare products include medical devices, invitro diagnostics, dietary supplements, cosmetics, and phytotherapy. It also provides homeopathic specialties comprising Oscillococcinum to treat influenza symptoms, such as fever, chills, headaches, and aches; Stodal and Stodaline for treating coughs; Arnigel for adjunctive local treatment of benign trauma in the absence of open wounds; Camilia for the treatment of teething problems for babies; Sédatif PC to treat anxiety and emotional, and minor sleep disorders; Coryzalia for the treatment of cold symptoms and rhinitis; Homéoptic to treat eye discomfort and irritation due to various causes for adults and children; Homéovox for vocal disorders; Homéoplasmine for treating irritated skin and redness; Varésol to treat symptoms of chickenpox; and Arnicare Arthritis for use in the treatment of benign trauma pain. In addition, it offers Dermoplasmine, a plant based multi-use balm that repairs and protects irritated and damaged skin; COVID self-tests and rapid antigenic tests; LABIAMEO, that used to treat outbreaks of localized cold sores; and CONVAMEO to treat physical and mental asthenia. The company offers its products through distribution centers, pharmacies, pharmacy chains, wholesalers, grocery and drugstores, health food stores, and online retail. Boiron SA was founded in 1932 and is headquartered in Messimy, France.

Earnings Per Share

As for profitability, BOIRON has a trailing twelve months EPS of €2.74.

PE Ratio

BOIRON has a trailing twelve months price to earnings ratio of 15.1. Meaning, the purchaser of the share is investing €15.1 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 8.64%.

Yearly Top and Bottom Value

BOIRON’s stock is valued at €41.38 at 01:50 EST, way under its 52-week high of €56.50 and way higher than its 52-week low of €37.00.

Moving Average

BOIRON’s worth is above its 50-day moving average of €40.78 and under its 200-day moving average of €44.41.

Revenue Growth

Year-on-year quarterly revenue growth declined by 6.6%, now sitting on 517.36M for the twelve trailing months.

Volume

Today’s last reported volume for BOIRON is 10218 which is 4.25% below its average volume of 10672.

More news about BOIRON.

7. REMY COINTREAU (RCO.PA)

2.23% Foward Dividend Yield

REMY COINTREAU’s last close was €89.06, 50.66% below its 52-week high of €180.50. Intraday change was -0.67%.

Rémy Cointreau SA, together with its subsidiaries, engages in the production, sale, and distribution of liqueurs and spirits. The company operates through Rémy Martin, Liqueurs & Spirits, and Partner Brands segments. It offers liqueurs, brandy, gin, single malt whisky, rum, wine, and champagne primarily under the Cointreau, Metaxa, St-Rémy, Mount Gay, Bruichladdich, Port Charlotte, Octomore, The Botanist, Westland, LOUIS XIII, and Domaine des Hautes Glaces brands. The company operates in Europe, the Middle East, Africa, the Americas, Asia, Australia, and New Zealand. Rémy Cointreau SA was founded in 1724 and is headquartered in Cognac, France.

Earnings Per Share

As for profitability, REMY COINTREAU has a trailing twelve months EPS of €3.6.

PE Ratio

REMY COINTREAU has a trailing twelve months price to earnings ratio of 24.57. Meaning, the purchaser of the share is investing €24.57 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 10.38%.

Yearly Top and Bottom Value

REMY COINTREAU’s stock is valued at €88.46 at 01:50 EST, way below its 52-week high of €180.50 and above its 52-week low of €88.40.

More news about REMY COINTREAU.

8. ACCOR (AC.PA)

2.05% Foward Dividend Yield

ACCOR’s last close was €35.78, 0.87% above its 52-week high of €35.47. Intraday change was 1.31%.

Accor SA operates a chain of hotels worldwide. It operates through three segments: Management & Franchise; Services to Owners and Hotel Assets; and Others. The company owns, operates, manages, and franchises hotels. It also provides digital services to independent hotel operators through D-edge platform; Gekko solutions for leisure and travel industry and large companies; and concierge and customized services through John Paul, as well as hotel booking services; and other services in events, fine dining, and entertainment through Paris Society and Potel & Chabot platforms. In addition, the company offers distribution activities, such as private sales of hotel accommodation and luxury vacations through VeryChic platform; rental of private residences operated by onefinestay; and coworking spaces through Wojo and Mama Works. Further, it provides hotel management, procurement, cash management, IT, and advertising services, as well as various advisory services. Accor SA was founded in 1967 and is headquartered in Issy-les-Moulineaux, France.

Earnings Per Share

As for profitability, ACCOR has a trailing twelve months EPS of €2.03.

PE Ratio

ACCOR has a trailing twelve months price to earnings ratio of 17.86. Meaning, the purchaser of the share is investing €17.86 for every euro of annual earnings.

Return on Equity

The company’s return on equity, which measures the profitability of a business relative to shareholder’s equity, for the twelve trailing months is 11.61%.

Moving Average

ACCOR’s worth is way above its 50-day moving average of €32.07 and way higher than its 200-day moving average of €32.23.

Volatility

ACCOR’s last week, last month’s, and last quarter’s current intraday variation average was 0.66%, 0.16%, and 0.82%.

ACCOR’s highest amplitude of average volatility was 1.03% (last week), 0.60% (last month), and 0.82% (last quarter).

Volume

Today’s last reported volume for ACCOR is 348786 which is 51.4% below its average volume of 717749.

Revenue Growth

Year-on-year quarterly revenue growth grew by 39.2%, now sitting on 4.9B for the twelve trailing months.

More news about ACCOR.

Leave a Reply

Your email address will not be published. Required fields are marked *