YARA INTERNATIONAL, VÅR ENERGI, Another 5 Companies Have A High Estimated Dividend Yield

(VIANEWS) – YARA INTERNATIONAL (YAR.OL), VÅR ENERGI (VAR.OL), BAM GROEP KON (BAMNB.AS) have the highest dividend yield stocks on this list.

Financial Asset Forward Dividend Yield Updated (EST)
YARA INTERNATIONAL (YAR.OL) 14.41% 2023-10-06 08:44:57
VÅR ENERGI (VAR.OL) 14.29% 2023-10-06 08:44:45
BAM GROEP KON (BAMNB.AS) 7.45% 2023-10-06 08:00:58
CRCAM ILLE-VIL.CCI (CIV.PA) 3.68% 2023-10-01 11:46:45
VIVENDI SE (VIV.PA) 3.01% 2023-10-01 12:05:08
GROUPE SFPI (SFPI.PA) 2.8% 2023-10-01 11:49:56
MAJOREL GROUP LUX (MAJ.AS) 2.29% 2023-10-05 08:03:03

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. YARA INTERNATIONAL (YAR.OL)

14.41% Foward Dividend Yield

YARA INTERNATIONAL’s last close was kr394.20, 20.75% below its 52-week high of kr497.40. Intraday change was -0.63%.

Yara International ASA provides crop nutrition and industrial solutions in Norway, European Union, Europe, Africa, Asia, North and Latin America, Australia, and New Zealand. The company offers ammonium- and urea-based fertilizers; compound fertilizers that contain plant nutrients, such as nitrogen, phosphorus, and potassium; coatings; biostimulants; organic-based fertilizers; green fertilizers are nitrate-based mineral fertilizers, as well as foliar and fertigation solutions; and nitrate, calcium nitrate, micronutrient, and fertigation fertilizers. It also offers digital solutions, such as variable rate application solutions; N-Sensor, a tractor-mounted hardware; N-Tester, a hand held nitrogen measurement tool; and Atfarm, a digital toolbox for farmer. The company sells its products under YaraBela, YaraMila, YaraLiva, YaraVita, YaraRega, YaraTera, YaraSuna, and YaraVera and brands. Yara International ASA was founded in 1905 and is headquartered in Oslo, Norway.

Earnings Per Share

As for profitability, YARA INTERNATIONAL has a trailing twelve months EPS of kr41.03.

PE Ratio

YARA INTERNATIONAL has a trailing twelve months price to earnings ratio of 9.55. Meaning, the purchaser of the share is investing kr9.55 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 13.08%.

Volatility

YARA INTERNATIONAL’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.70%, a negative 0.17%, and a positive 0.93%.

YARA INTERNATIONAL’s highest amplitude of average volatility was 0.91% (last week), 0.84% (last month), and 0.93% (last quarter).

Revenue Growth

Year-on-year quarterly revenue growth declined by 38.3%, now sitting on 19.66B for the twelve trailing months.

Yearly Top and Bottom Value

YARA INTERNATIONAL’s stock is valued at kr391.70 at 17:50 EST, way under its 52-week high of kr497.40 and higher than its 52-week low of kr365.00.

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2. VÅR ENERGI (VAR.OL)

14.29% Foward Dividend Yield

VÅR ENERGI’s last close was kr30.39, 35.6% below its 52-week high of kr47.19. Intraday change was 1.12%.

Vår Energi AS, an independent upstream oil and gas company, explores for, develops, and produces hydrocarbons. The company operates four fields on the Norwegian continental shelf, including the Goliat, Marulk, Balder, and Ringhorne and Ringhorne East fields located in the Barents, the Norwegian, and the North Sea, as well as holds ownership interests in 32 producing partner-operated fields on the Norwegian continental shelf. It has reserves of 1,147 million barrels of oil equivalent on the Norwegian continental shelf. The company was formerly known as Eni Norge AS and changed its name to Vår Energi AS in December 2018. The company was founded in 1965 and is based in Sandnes, Norway. Vår Energi AS is a subsidiary of Eni International B.V.

Earnings Per Share

As for profitability, VÅR ENERGI has a trailing twelve months EPS of kr3.29.

PE Ratio

VÅR ENERGI has a trailing twelve months price to earnings ratio of 9.34. Meaning, the purchaser of the share is investing kr9.34 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 55.3%.

Volume

Today’s last reported volume for VÅR ENERGI is 1781810 which is 70.32% below its average volume of 6003640.

Earnings Before Interest, Taxes, Depreciation, and Amortization

VÅR ENERGI’s EBITDA is 13.12.

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3. BAM GROEP KON (BAMNB.AS)

7.45% Foward Dividend Yield

BAM GROEP KON’s last close was €1.90, 33.19% below its 52-week high of €2.85. Intraday change was 0.74%.

Koninklijke BAM Groep nv, together with its subsidiaries, provides products and services in the construction and property, civil engineering, and public private partnerships (PPP) sectors worldwide. The company engages in civil engineering, residential construction projects and non-residential construction activities. It is also involved in rail infrastructure and facilities management activities. In addition, the company engages in roads, education, health care, and government building construction related businesses. Koninklijke BAM Groep nv was founded in 1869 and is headquartered in Bunnik, the Netherlands.

Earnings Per Share

As for profitability, BAM GROEP KON has a trailing twelve months EPS of €0.65.

PE Ratio

BAM GROEP KON has a trailing twelve months price to earnings ratio of 2.95. Meaning, the purchaser of the share is investing €2.95 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 19.15%.

Volatility

BAM GROEP KON’s last week, last month’s, and last quarter’s current intraday variation average was a negative 1.43%, a negative 0.04%, and a positive 1.17%.

BAM GROEP KON’s highest amplitude of average volatility was 1.69% (last week), 1.14% (last month), and 1.17% (last quarter).

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4. CRCAM ILLE-VIL.CCI (CIV.PA)

3.68% Foward Dividend Yield

CRCAM ILLE-VIL.CCI’s last close was €63.80, 9.38% under its 52-week high of €70.40. Intraday change was 1.43%.

Caisse régionale de Crédit Agricole Mutuel d'Ille-et-Vilaine Société coopérative provides banking services in France. It offers bank accounts and related services; bank cards; saving solutions; real estate investment solutions; insurance products, such as car and two-wheeler, personal, home, and borrower insurance, as well as life insurance products; real estate loans; and consumer credit comprising personal, family, auto, boating, student, and apprentice loans, as well as renewable credit. The company is based in Saint-Jacques-de-la-Lande, France. Caisse régionale de Crédit Agricole Mutuel d'Ille-et-Vilaine Société coopérative operates as a subsidiary of Crédit Agricole S.A..

Earnings Per Share

As for profitability, CRCAM ILLE-VIL.CCI has a trailing twelve months EPS of €13.97.

PE Ratio

CRCAM ILLE-VIL.CCI has a trailing twelve months price to earnings ratio of 5.01. Meaning, the purchaser of the share is investing €5.01 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 2.95%.

Volume

Today’s last reported volume for CRCAM ILLE-VIL.CCI is 312 which is 32.76% above its average volume of 235.

Moving Average

CRCAM ILLE-VIL.CCI’s value is above its 50-day moving average of €64.46 and way higher than its 200-day moving average of €59.91.

Dividend Yield

As stated by Morningstar, Inc., the next dividend payment is on May 11, 2023, the estimated forward annual dividend rate is 2.39 and the estimated forward annual dividend yield is 3.68%.

Volatility

CRCAM ILLE-VIL.CCI’s last week, last month’s, and last quarter’s current intraday variation average was a negative 0.94%, a negative 0.49%, and a positive 1.25%.

CRCAM ILLE-VIL.CCI’s highest amplitude of average volatility was 0.94% (last week), 0.88% (last month), and 1.25% (last quarter).

More news about CRCAM ILLE-VIL.CCI.

5. VIVENDI SE (VIV.PA)

3.01% Foward Dividend Yield

VIVENDI SE’s last close was €8.33, 18.49% under its 52-week high of €10.22. Intraday change was 0.37%.

Vivendi SE operates as an entertainment, media, and communication company in France, the rest of Europe, the Americas, Asia/Oceania, and Africa. It operates through Canal+ Group, Havas, Prisma Media, Gameloft, Vivendi Village, New Initiatives, Generosity and Solidarity, and Corporate segments. The Canal+ Group segment publishes and distributes premium and thematic pay-TV and free-to-air channels; and produces, sells, and distributes movies and TV series. The Havas segment includes communications disciplines, such as creativity, media expertise, and healthcare/wellness. The Prisma Media segment publishes online videos. The Gameloft segment engages in the creation and publishing of downloadable video games for various console-PC-mobile platforms, tablets, triple-play boxes, and smart TVs. The Vivendi Village segment provides ticketing services and live performances through Olympia production, festival production, and venues. The New Initiatives segment operates Dailymotion, a video content aggregation and distribution platform, as well as develops ultra-high-speed Internet service. The Generosity and Solidarity segment includes CanalOlympia; and Vivendi Create Joy solidarity program, which supports initial and professional training projects. The Corporate segment offers centralized services. The company was founded in 1853 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, VIVENDI SE has a trailing twelve months EPS of €-0.97.

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 -5.07%.

Revenue Growth

Year-on-year quarterly revenue growth grew by 3.7%, now sitting on 9.76B for the twelve trailing months.

Yearly Top and Bottom Value

VIVENDI SE’s stock is valued at €8.21 at 17:50 EST, way under its 52-week high of €10.22 and higher than its 52-week low of €7.59.

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6. GROUPE SFPI (SFPI.PA)

2.8% Foward Dividend Yield

GROUPE SFPI’s last close was €1.67, 38.15% under its 52-week high of €2.70. Intraday change was 0.66%.

GROUPE SFPI SA designs, manufactures, and markets equipment for the safety industry in Europe and internationally. The company operates through DOM Security, NEU-JKF, MMD, MAC, and Other divisions. It offers closure equipment, such as windows and joinery, shutters and blinds, entrance and garage doors, industrial closures, carpentry, and awnings for building industry under the France Fermetures, Franciaflex, Faber, SIPA Menuiseries, and Wo&Wo brands. The company also provides access and locking solutions for buildings, homeowners, small businesses, and large companies. In addition, it offers air treatment solutions, such as dust removal systems, air filtration and conditioning equipment, pneumatic treatment equipment for production waste, pneumatic transport equipment, industrial fans, etc. Further, the company provides thermal processing and sterilization solutions. GROUPE SFPI SA was founded in 1985 and is headquartered in Paris, France.

Earnings Per Share

As for profitability, GROUPE SFPI has a trailing twelve months EPS of €0.24.

PE Ratio

GROUPE SFPI has a trailing twelve months price to earnings ratio of 7.65. Meaning, the purchaser of the share is investing €7.65 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 9.04%.

Stock Price Classification

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

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7. MAJOREL GROUP LUX (MAJ.AS)

2.29% Foward Dividend Yield

MAJOREL GROUP LUX’s last close was €29.75, 0.17% under its 52-week high of €29.80. Intraday change was 0.17%.

Majorel Group Luxembourg S.A. engages in the designing, building, and delivering end-to-end customer experience (CX) solutions for digital-native and vertical leading brands worldwide. It offers customer interaction services, such as solutions for customer services, sales and marketing, loyalty and retention, and tech support; business process services, including content services, trust and safety, and vertical business process outsourcing services; and tech and expert services comprising digital consumer engagement, CX consulting, start-ups, and vertical digital solutions. The company serves Internet, banking and financial services, insurance, automotive, consumer products and retail, travel and hospitality, utilities and energy, and telecoms and media industries. Majorel Group Luxembourg S.A. was incorporated in 2018 and is headquartered in Luxembourg City, Luxembourg.

Earnings Per Share

As for profitability, MAJOREL GROUP LUX has a trailing twelve months EPS of €1.48.

PE Ratio

MAJOREL GROUP LUX has a trailing twelve months price to earnings ratio of 20.07. Meaning, the purchaser of the share is investing €20.07 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 28.43%.

Moving Average

MAJOREL GROUP LUX’s worth is higher than its 50-day moving average of €29.19 and way higher than its 200-day moving average of €24.93.

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