Corporación Financiera Alba, S.A. is a private equity and venture capital firm specializing in early venture, mid venture, late venture, growth capital, and emerging growth financing in middle market and mature companies. The firm does listed equity investments, unlisted equity investments, and real estate assets investments. It prefers to invest in the following sectors: consumer discretionary which includes media, retailing, distributors; financials; Healthcare which includes pharmaceuticals; biotechnology and life sciences; industrials which includes capital goods, commercial and professional services which includes construction and engineering; commercial services and supplies which includes construction and engineering; industrial services, environment, Information Technology; Materials which includes construction materials and metals and mining, and telecommunication services. The firm seeks to make direct equity investments with a focus on Spanish quoted and unquoted companies. It seeks to take minority stake in public and private companies with a long term investment horizon. The firm prefers to have a Board position in its listed investments. Corporación Financiera Alba, S.A. was founded in 1986 and is based in Madrid, Spain.
Часто задаваемые вопросы
В каком секторе работает Corporacion Financiera Alba SA (ALB)?
Corporacion Financiera Alba SA относится к сектору Финансы.
Какова текущая цена акций Corporacion Financiera Alba SA (ALB)?
По последним данным, цена акций Corporacion Financiera Alba SA составляет 83,68 €, предыдущее закрытие — 83,68 €.
Какой коэффициент цена/прибыль (P/E) компании Corporacion Financiera Alba SA (ALB)?
Текущий коэффициент P/E компании Corporacion Financiera Alba SA составляет 51,34, а прогнозный P/E — 15,73.
Выплачивает ли Corporacion Financiera Alba SA (ALB) дивиденды?
Нет, Corporacion Financiera Alba SA не выплачивает дивиденды.
Какой бета-коэффициент (волатильность) у Corporacion Financiera Alba SA (ALB)?
У компании Corporacion Financiera Alba SA бета 0.451, что указывает на более низкую волатильность по сравнению с рынком в целом.