PT Equity Development Investment Tbk provides financial products and services in Indonesia. The company operates through four segments: Insurance; Banking and Financing; Stock Administration and Securities; and Holding Company, Travel Services, and Venture Capital. It offers general insurance products, such as fire, motor vehicles, accident, marine hull, engineering, and marine cargo; and life insurance products, including whole life, term insurance, health assurance, unitised pensions, unit link, pure endowment pensions, mortgage reduction term allowance, and combined endowments, as well as reinsurance services. The company provides financial leasing, consumer financing, and factoring services, as well as health insurance and pension funds; operates as a securities underwriter, securities broker, investment manager, and investment advisor; and venture capital services. In addition, it offers travel and health services; insurance brokerage services; securities administration; and mutual fund services, as well as sell securities. PT Equity Development Investment Tbk was formerly known as PT Gajah Surya Arta Leasing. The company was founded in 1982 and is based in Jakarta, Indonesia. PT Equity Development Investment Tbk operates as a subsidiary of Equity Global International Limited.
Часто задаваемые вопросы
В каком секторе работает Equity Development Investment (GSMF)?
Equity Development Investment относится к сектору Финансы.
Какова текущая цена акций Equity Development Investment (GSMF)?
По последним данным, цена акций Equity Development Investment составляет 89 IDR, предыдущее закрытие — 89 IDR.
Какой коэффициент цена/прибыль (P/E) компании Equity Development Investment (GSMF)?
Текущий коэффициент P/E компании Equity Development Investment составляет 18,54.
Выплачивает ли Equity Development Investment (GSMF) дивиденды?
Нет, Equity Development Investment не выплачивает дивиденды.
Какой бета-коэффициент (волатильность) у Equity Development Investment (GSMF)?
У компании Equity Development Investment бета -0.496, что указывает на более низкую волатильность по сравнению с рынком в целом.