SOLVAY, MULTICONSULT, Another 4 Companies Have A High Estimated Dividend Yield

(VIANEWS) – SOLVAY (SOLB.BR), MULTICONSULT (MULTI.OL), KPN KON (KPN.AS) have the highest dividend yield stocks on this list.

Financial Asset Forward Dividend Yield Updated (EST)
SOLVAY (SOLB.BR) 17.19% 2024-02-23 08:21:38
MULTICONSULT (MULTI.OL) 5.46% 2024-02-23 08:41:23
KPN KON (KPN.AS) 4.52% 2024-02-21 08:02:46
VALNEVA (VLA.PA) 3.35% 2024-02-23 09:24:18
COURTOIS (COUR.PA) 2.1% 2024-02-21 09:01:28
BONHEUR (BONHR.OL) 2.06% 2024-02-23 08:25:14

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. SOLVAY (SOLB.BR)

17.19% Foward Dividend Yield

SOLVAY’s last close was €23.96, 16.22% below its 52-week high of €28.60. Intraday change was -0.66%.

Solvay SA provides advanced materials and specialty chemicals worldwide. It operates through four segments: Materials, Chemicals, Solutions, and Corporate & Business Services. The Materials segment offers specialty polymers, including aromatic polymers, high barrier polymers, and fluoropolymers for the electronics, automotive, aerospace, and healthcare industries; and composite materials for aerospace engineered materials market. The Chemicals segment produces and sells soda ash and sodium bicarbonate primarily to the flat and container glass industries, as well as for use in detergents, pharmaceutical, and feed and food industries; hydrogen peroxide for use primarily in the paper industry to bleach pulp, as well as chemicals, electronics, food, mining, and environment; and dispersible silica for tire manufacturers; and solvent solutions, phenols and derivatives, polyamide derivatives and smart, functional, and sustainable yarns and polymers. The Solutions segment offers specialty chemicals for agro, home and personal care, coatings, and industrial markets; technology solutions in specialty mining reagents, phosphine-based chemistry, and solutions for the stabilization of polymers; fluorine and rare-earth formulations for automotive, electronics, agrochemical, and construction applications; and vanillin for the food, flavors, and fragrances industries, as well as value-added intermediates used in monomers and polymers, pharmaceuticals, agrochemicals, and electronics. This segment also provides various products for upstream oilfield chemicals sector, as well as sodium hypophosphite for metal plating and other applications; and PROBAN, a technological process that offers durable flame retardant properties to cotton-based textiles. The Corporate & Business Services segment provides energy and other business services. The company was founded in 1863 and is headquartered in Brussels, Belgium.

Earnings Per Share

As for profitability, SOLVAY has a trailing twelve months EPS of €10.23.

PE Ratio

SOLVAY has a trailing twelve months price to earnings ratio of 2.35. Meaning, the purchaser of the share is investing €2.35 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 9.93%.

Yearly Top and Bottom Value

SOLVAY’s stock is valued at €24.06 at 21:50 EST, way under its 52-week high of €28.60 and way higher than its 52-week low of €17.90.

Volume

Today’s last reported volume for SOLVAY is 108867 which is 88.43% below its average volume of 941699.

Stock Price Classification

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

Growth Estimates Quarters

The company’s growth estimates for the current quarter and the next is a negative 74.3% and a negative 82.6%, respectively.

More news about SOLVAY.

2. MULTICONSULT (MULTI.OL)

5.46% Foward Dividend Yield

MULTICONSULT’s last close was kr143.00, 15.38% below its 52-week high of kr169.00. Intraday change was -0.35%.

Multiconsult ASA provides engineering design, consultancy, and architecture services in Norway and internationally. The company offers multidisciplinary consultancy, design, planning, project supervision and management, geotechnical site survey, verification and control, analysis and due diligence, construction management, geological investigations, environmental services and HSE, river basin management, hydrometry, and hydrological field work services. It serves buildings and properties, cities and society, industry, oil and gas, renewable energy, rail and transportation, and water and environment sectors. Multiconsult ASA was founded in 1908 and is headquartered in Oslo, Norway.

Earnings Per Share

As for profitability, MULTICONSULT has a trailing twelve months EPS of kr10.22.

PE Ratio

MULTICONSULT has a trailing twelve months price to earnings ratio of 13.99. Meaning, the purchaser of the share is investing kr13.99 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 30.55%.

Moving Average

MULTICONSULT’s worth is way above its 50-day moving average of kr127.32 and above its 200-day moving average of kr139.05.

Growth Estimates Quarters

The company’s growth estimates for the present quarter is a negative 55.6% and positive 228.5% for the next.

Volume

Today’s last reported volume for MULTICONSULT is 628 which is 96.66% below its average volume of 18831.

Yearly Top and Bottom Value

MULTICONSULT’s stock is valued at kr143.00 at 21:50 EST, way under its 52-week high of kr169.00 and way above its 52-week low of kr117.00.

More news about MULTICONSULT.

3. KPN KON (KPN.AS)

4.52% Foward Dividend Yield

KPN KON’s last close was €3.40, 0.77% above its 52-week high of €3.37. Intraday change was -0.06%.

Koninklijke KPN N.V. provides telecommunications and information technology (IT) services in the Netherlands. It operates through Consumer; Business; Wholesale; and Network, Operations & IT segments. The company offers fixed and mobile telephony, fixed and mobile broadband internet, and television services to retail and business consumers; infrastructure and network related IT solutions to business customers; and wholesale network services to third parties. It also provides IT services, includes connectivity, cloud, security, workspace, and cybersecurity services; interconnect traffic, visitor roaming, and digital products; and NL-ix, an interconnect exchange, as well as sells handsets and peripheral equipment, and software licenses. The company was founded in 1881 and is headquartered in Rotterdam, the Netherlands.

Earnings Per Share

As for profitability, KPN KON has a trailing twelve months EPS of €0.19.

PE Ratio

KPN KON has a trailing twelve months price to earnings ratio of 17.74. Meaning, the purchaser of the share is investing €17.74 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 23.35%.

Yearly Top and Bottom Value

KPN KON’s stock is valued at €3.37 at 21:50 EST, under its 52-week high of €3.37 and above its 52-week low of €3.07.

More news about KPN KON.

4. VALNEVA (VLA.PA)

3.35% Foward Dividend Yield

VALNEVA’s last close was €3.29, 58.05% below its 52-week high of €7.85. Intraday change was -3.28%.

Valneva SE, a specialty vaccine company, develops, manufactures, and commercializes prophylactic vaccines for infectious diseases with unmet needs. It offers IXIARO, an inactivated Vero cell culture-derived Japanese encephalitis vaccine indicated for active immunization against Japanese encephalitis; DUKORAL, an oral vaccine for the prevention of diarrhea caused by Vibrio cholera and/or heat-labile toxin producing enterotoxigenic Escherichia coli bacterium; and VLA2001, an inactivated whole-virus COVID-19 vaccine. The company also develops VLA15, a vaccine candidate, which is in Phase III clinical trial against Borrelia, the bacterium that causes Lyme disease; VLA1553, a vaccine candidate, which is in Phase III clinical trial against the chikungunya virus; VLA1554, a vaccine candidate targeting human metapneumovirus; and VLA2112, a vaccine candidate to treat patients with epstein-barr virus. It sells its products in the United States, Canada, Germany, Austria, Nordics, the United Kingdom, France, rest of European countries, and internationally. Valneva SE has collaborations with Pfizer, Inc. to co-develop and commercialize its Lyme disease vaccine; and Instituto Butantan for the development, manufacturing, and marketing of single-shot chikungunya vaccine. The company was founded in 1998 and is based in Saint-Herblain, France.

Earnings Per Share

As for profitability, VALNEVA has a trailing twelve months EPS of €-0.82.

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 -4.81%.

Volatility

VALNEVA’s last week, last month’s, and last quarter’s current intraday variation average was a negative 2.35%, a negative 0.80%, and a positive 2.21%.

VALNEVA’s highest amplitude of average volatility was 3.58% (last week), 2.61% (last month), and 2.21% (last quarter).

Sales Growth

VALNEVA’s sales growth is negative 76.3% for the present quarter and negative 58.9% for the next.

Volume

Today’s last reported volume for VALNEVA is 189530 which is 53.14% below its average volume of 404465.

More news about VALNEVA.

5. COURTOIS (COUR.PA)

2.1% Foward Dividend Yield

COURTOIS’s last close was €126.00, 8.7% under its 52-week high of €138.00. Intraday change was 0%.

Courtois S.A. renovates and sells real estate properties located in the Midi-Pyrenees and Paris regions in France. Courtois S.A. is based in Toulouse, France.

Earnings Per Share

As for profitability, COURTOIS has a trailing twelve months EPS of €-3.12.

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 -1.17%.

Yearly Top and Bottom Value

COURTOIS’s stock is valued at €126.00 at 21:50 EST, under its 52-week high of €138.00 and higher than its 52-week low of €119.00.

Moving Average

COURTOIS’s worth is under its 50-day moving average of €130.52 and under its 200-day moving average of €129.24.

Stock Price Classification

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

Volume

Today’s last reported volume for COURTOIS is 2 which is 96% below its average volume of 50.

More news about COURTOIS.

6. BONHEUR (BONHR.OL)

2.06% Foward Dividend Yield

BONHEUR’s last close was kr219.00, 45.18% under its 52-week high of kr399.50. Intraday change was 0.46%.

Bonheur ASA, together with its subsidiaries, engages in the renewable energy, wind service, cruise, and other businesses in Norway, Europe, Asia, the United States, Africa, and Internationally. The company operates through four segments: Renewable Energy, Wind Service, Cruise and Other Investments. The Renewable Energy segment develops, constructs, and operates wind farms with an installed capacity of 787.5 MW. The Wind Service segment owns and operates three self-propelled jack-up vessels for the transportation, installation, maintenance, and service of offshore and onshore wind turbines. The Cruise segment owns and operates four ocean cruise ships and offers cruise holidays. The Other Investments segment offers publications under DN Media Group; and PR software services, under NHST Marketing Technology. The company was founded in 1897 and is headquartered in Oslo, Norway.

Earnings Per Share

As for profitability, BONHEUR has a trailing twelve months EPS of kr28.71.

PE Ratio

BONHEUR has a trailing twelve months price to earnings ratio of 7.59. Meaning, the purchaser of the share is investing kr7.59 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 34.84%.

Revenue Growth

Year-on-year quarterly revenue growth grew by 18.8%, now sitting on 12.4B for the twelve trailing months.

Stock Price Classification

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

More news about BONHEUR.

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