KAUFMAN ET BROAD, CRCAM LOIRE HTE L., Another 3 Companies Have A High Estimated Dividend Yield

(VIANEWS) – KAUFMAN ET BROAD (KOF.PA), CRCAM LOIRE HTE L. (CRLO.PA), AKER (AKER.OL) have the highest dividend yield stocks on this list.

Financial Asset Forward Dividend Yield Updated (EST)
KAUFMAN ET BROAD (KOF.PA) 8.89% 2023-09-24 03:50:35
CRCAM LOIRE HTE L. (CRLO.PA) 4.72% 2023-09-24 05:46:46
AKER (AKER.OL) 4.55% 2023-09-22 08:24:59
BOUVET (BOUV.OL) 4.08% 2023-09-22 08:26:01
ALTAMIR (LTA.PA) 3.91% 2023-09-22 08:46:10

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)

8.89% Foward Dividend Yield

KAUFMAN ET BROAD’s last close was €27.05, 12.18% under its 52-week high of €30.80. Intraday change was 1.2%.

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 €3.06.

PE Ratio

KAUFMAN ET BROAD has a trailing twelve months price to earnings ratio of 8.24. Meaning, the purchaser of the share is investing €8.24 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 34.35%.

Stock Price Classification

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, KAUFMAN ET BROAD’s stock is considered to be overbought (>=80).

Volume

Today’s last reported volume for KAUFMAN ET BROAD is 2264 which is 82.33% below its average volume of 12814.

Volatility

KAUFMAN ET BROAD’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.24%, a positive 0.43%, and a positive 1.59%.

KAUFMAN ET BROAD’s highest amplitude of average volatility was 0.48% (last week), 1.21% (last month), and 1.59% (last quarter).

More news about KAUFMAN ET BROAD.

2. CRCAM LOIRE HTE L. (CRLO.PA)

4.72% Foward Dividend Yield

CRCAM LOIRE HTE L.’s last close was €63.74, 4.38% below its 52-week high of €66.66. Intraday change was 1.54%.

Caisse Régionale de Crédit Agricole Mutuel Loire Haute-Loire Société coopérative provides various banking products and services to individuals, professionals, farmers, business, public community and social housing, and associations in France. It offers accounts and cards; real estate loans and consumer credit; operating cycle, and company equipment and real estate financing; trade and export financing; savings products, such as life insurance, real estate investments, stock exchanges and financial investment, and retirement saving solutions; car and two-wheeler, home, personal, leisure and daily life, borrower, professional premises, professional vehicle, health, employee, activity, agricultural buildings, agricultural equipment and activity, and other insurance products; collection and payment services; cash management, business creation financing, medium-term credit, and leasing products; and treasury services. The company is based in Saint-Étienne, France. Caisse Régionale de Crédit Agricole Mutuel Loire Haute-Loire Société coopérative operates as a subsidiary of Crédit Agricole S.A.

Earnings Per Share

As for profitability, CRCAM LOIRE HTE L. has a trailing twelve months EPS of €10.5.

PE Ratio

CRCAM LOIRE HTE L. has a trailing twelve months price to earnings ratio of 6.29. Meaning, the purchaser of the share is investing €6.29 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 4%.

Yearly Top and Bottom Value

CRCAM LOIRE HTE L.’s stock is valued at €66.00 at 12:50 EST, under its 52-week high of €66.66 and way above its 52-week low of €48.06.

Volume

Today’s last reported volume for CRCAM LOIRE HTE L. is 118 which is 51.83% below its average volume of 245.

More news about CRCAM LOIRE HTE L..

3. AKER (AKER.OL)

4.55% Foward Dividend Yield

AKER’s last close was kr659.00, 18.34% below its 52-week high of kr807.00. Intraday change was -1.13%.

Aker ASA operates as an industrial investment company in Norway, the European Union, North America, South America, Asia, and internationally. It operates in two segments, Industrial Holdings and Financial Investments. The company engages in the exploration and production of oil and gas; provides solutions, products, and services to the energy industry; develops and delivers technologies to drilling market; holds oil reserves; and harvests, develops, markets, and sells krill-based ingredients and product for nutraceutical, aquaculture, and animal feed applications. It also focuses on renewable energy and green technologies; builds and operates sea-based salmon farming; offers Cognite Data Fusion that collects, processes, and facilitates big data for its industry customers; designs, constructs, and leases vessels; owns and operates supply-vessels, anchor handling vessels, and construction service vessels; trades in financial instruments; operates platform for venture capital in industrial technology; develops real estate and software; acts as an investment manager; and invests in bitcoin, and projects and companies throughout the bitcoin ecosystem. The company was founded in 1841 and is based in Lysaker, Norway. Aker ASA is a subsidiary of TRG Holding AS.

Earnings Per Share

As for profitability, AKER has a trailing twelve months EPS of kr-39.99.

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 negative -18.1%.

Volatility

AKER’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.75%, a positive 0.10%, and a positive 1.03%.

AKER’s highest amplitude of average volatility was 0.86% (last week), 0.66% (last month), and 1.03% (last quarter).

Dividend Yield

According to Morningstar, Inc., the next dividend payment is on Apr 24, 2023, the estimated forward annual dividend rate is 30 and the estimated forward annual dividend yield is 4.55%.

More news about AKER.

4. BOUVET (BOUV.OL)

4.08% Foward Dividend Yield

BOUVET’s last close was kr57.30, 18.14% below its 52-week high of kr70.00. Intraday change was 1.24%.

Bouvet ASA provides IT and digital communication consultancy services for public and private sector companies in Norway, Sweden, and internationally. Bouvet ASA was founded in 1995 and is based in Oslo, Norway.

Earnings Per Share

As for profitability, BOUVET has a trailing twelve months EPS of kr3.09.

PE Ratio

BOUVET has a trailing twelve months price to earnings ratio of 18.51. Meaning, the purchaser of the share is investing kr18.51 for every norwegian krone 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 60.9%.

More news about BOUVET.

5. ALTAMIR (LTA.PA)

3.91% Foward Dividend Yield

ALTAMIR’s last close was €25.80, 9.79% under its 52-week high of €28.60. Intraday change was 0.39%.

Altamir SCA, formerly known as Altamir Amboise, is a private equity investment arm of Amboise SAS, specializing in both direct and fund of fund investments, small and mid-cap companies. In direct investing, the firm specializes in middle market, buyout and growth capital investments. The firm prefers to invest in under-developed divisions of larger corporations. It prefers to invest in private equity funds specializing in growth capital and leverage buyouts investments from Europe, United States and Canada. The firm typically invests in the following sectors: healthcare, TMT, digital companies, consumer services, education services, retail and distribution. It also invests in retail and consumer, business and financial services. In healthcare, it seeks to focus on companies with strong growth potential in areas such as health services (hospitalization structures, home health care and medical analysis); medical devices; in niche pharmaceutical laboratories; and companies in related activities such as dermo-cosmetics, galenic development, and services and databases for health organizations. The firm seeks to invest in unlisted companies based in Europe, with a particular focus on Belgium, France, Luxembourg, Switzerland, Monaco, Italy, Netherlands, Germany and French-speaking Europe; United States and Canada and in larger emerging markets such as China, India and Brazil. In small and mid-cap companies firm prefers to invest in Continental Europe with a focus in France, Italy and Benelux, & larger size companies in Europe, North America and emerging countries like China, India and Brazil. In small and mid-cap size companies it prefers to invest with enterprise value between €50 million ($55.36 million) and €500 million ($553.6 million) and in larger size companies it prefers to invest with enterprise value between €500 million ($553.60 million) and €3000 million ($3321.62 million). It invests in funds that seek to have a majority stake in its investments or be a lead shareholder. It invests and disinvests with the private equity funds of Apax Partners France and Amboise Investissement under the same conditions and also invests directly in funds managed or advised by Apax Partners France and Apax Partners LLC. The firm seeks to exit its investments within five years. It makes balance sheet investments. Altamir SCA was founded in 1995 and is based in Paris, France.

Earnings Per Share

As for profitability, ALTAMIR has a trailing twelve months EPS of €-0.74.

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 negative -2%.

Volatility

ALTAMIR’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.39%, a negative 0.32%, and a positive 0.92%.

ALTAMIR’s highest amplitude of average volatility was 0.39% (last week), 1.41% (last month), and 0.92% (last quarter).

Volume

Today’s last reported volume for ALTAMIR is 51 which is 94.58% below its average volume of 941.

Revenue Growth

Year-on-year quarterly revenue growth declined by 92.1%, now sitting on 120.15k for the twelve trailing months.

Stock Price Classification

According to the stochastic oscillator, a useful indicator of overbought and oversold conditions, ALTAMIR’s stock is considered to be overbought (>=80).

More news about ALTAMIR.

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