Bureau Veritas Sa Stock Widgets and Gadgets
BVVBY Stock | USD 61.07 0.10 0.16% |
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- BVVBY Bureau Veritas SA
- BVVBY 61.07 0.1
- Low 60.78
- High 61.17
- Volume 7.4 K
- Alpha 0.0154
- Beta 0.084
- Return On Equity 0.29
- Return On Asset 0.07
- Profit Margin 0.09 %
- Operating Margin 0.14 %
- Current Valuation 13.29 B
- Shares Outstanding 226.14 M
- Price To Earning 29.65 X
- Price To Book 6.42 X
- Price To Sales 2.26 X
- Revenue 4.98 B
- Gross Profit 1.52 B
- EBITDA 999.4 M
- Net Income 420.9 M
- Cash And Equivalents 1.45 B
- Cash Per Share 6.41 X
- Total Debt 2.36 B
- Debt To Equity 1.62 %
- Current Ratio 1.60 X
- Book Value Per Share 7.71 X
- Cash Flow From Operations 790.7 M
- Earnings Per Share 2.06 X
- Price To Earnings To Growth 2.33 X
- Number Of Employees 80 K
- Beta 0.92
- Market Capitalization 12.89 B
- Total Asset 6.75 B
- Z Score 3.0
- Annual Yield 0.02 %
- Net Asset 6.75 B
- Last Dividend Paid 0.53
- Accumulation Distribution 47.18
- Daily Balance Of Power 0.2564
- Rate Of Daily Change 1.0
- Day Median Price 60.98
- Day Typical Price 61.01
- Market Facilitation Index 1.0E-4
- Price Action Indicator 0.14
- Period Momentum Indicator 0.1
- Relative Strength Index 47.58
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THE PHILIPPINE STOCK Philippines | 6,147 0.13 | |
WIG 30 Poland | 3,505 1.04 | |
BIST Electricity Turkey | 465.96 1.39 |
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When running Bureau Veritas' price analysis, check to measure Bureau Veritas' market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Bureau Veritas is operating at the current time. Most of Bureau Veritas' value examination focuses on studying past and present price action to predict the probability of Bureau Veritas' future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Bureau Veritas' price. Additionally, you may evaluate how the addition of Bureau Veritas to your portfolios can decrease your overall portfolio volatility.