HAL Trust
Financials
Current price
Target price 00%
Ranks rating
76
Position in sub-industry
20 / 109
Position in country
7 / 27
Return on Assets, %
4.3
1.7
Net income margin, %
7.6
10.2
EBITDA margin, %
20.9
13.4
Debt to Equity, %
35.3
23.9
Intangible assets and goodwill, %
12.6
0
Revenue CAGR 3Y, %
33.4
5.7
Revenue Y, % chg
30.1
-1.4
P/E
11.3
11.3
P/BV
0.8
0.7
P/S
0.9
3.6
EV/S
1
4.4
EV/EBITDA
5.3
8.5
Average Analyst recommendation
Hold
Hold
Average upside forecasts, %
12.7
22.6
Forward P/E
10.2
13
Dividend Yield, %
2.2
2.8
Forward Dividend Yield, %
3.1
2.2
Expected dividend per share
3.9
0.7
Payout Ratio, %
22.1
12.9
Dividend Ex Date
2024-05-20
Competitors
Ranks
-
Exor NV
00%
-
Investor AB
00%
-
Wendel SE
00%
-
HAL Trust
00%
-
Industrivarden AB
00%
-
Bajaj Holdings and Investment Ltd
00%
-
Sofina SA
00%
-
Groep Brussel Lambert NV
00%
-
Berkshire Hathaway Inc
00%
-
Washington H Soul Pattinson and Company Ltd
00%
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Company information
Country
Monaco
Sector
Financials
Industry group
Financial Services
Industry
Financial Services
Sub-sector
Financials
Capitalization (millions of $)
12288.6
Ticker
HLAN.AS
ISIN
BMG455841020
IPO date
1985-01-02
Availability on Russian exchanges
No
Reporting for
2024-04-02
Date fact. publication of reports
2023-12-31
Company Description
Hal Trust is a Bermuda-based investment company. The Company is organized into five business segments: the Optical retail segment relates to majority-owned companies, as well as non-controlling interests in companies that derive their revenues from the sale of optical products; the Other unquoted segment includes majority-owned companies, as well as non-controlling interests in companies that derive their revenues from various activities, such as hearing aid, office furniture, personal protection equipment, construction products, printing, shipping, orthopedic devices, media and other activities; the Quoted minority interests segment includes ownership in publicly traded associates; the Real Estate segment is related to the development and rental of multi-family properties and office buildings, and the Liquid portfolio segment consists of available for-sale financial assets and cash equivalent instruments generating interests, dividends and capital gains.
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