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Fundamental - Factsheet

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MIND C.T.I MIND C.T.I. LTD.
Updated on 05 Mar 2021 (End of trading day)
Last (USD): 2.930 Change: -0.020 High: 2.940 Remarks: -
Change (%): -0.68 Low: 2.860
Open 2.910 Yesterday's Close 2.95
Buy Price - Sell Price -
Buy Volume (share) - Sell Volume (share) -
Cumulative Volume (share) 111,913 Cumulative Value
Click to show Stock Prices chart

Key Statistics

EPS (USD) a 0.25455 Trailing EPS (USD) e 0.26751 NAV (USD) b 1.0793
PE a 11.511 Trailing PE f 10.953 Price / NAV b 2.7147
Dividend (USD) d 0.259977 Cash In Hand (USD) g 0.4000 Issued & Paid-up Shares c 19,898,000
Dividend Yield (%) d 8.873 Price / Cash In Hand g 7.325 Treasury Shares h 1,763,684
Market Cap (M) 58.301 Enterprise Value (M) 44.862
Piotroski F Score 5 Exchange Code MNDO Par Value ( $ ) n.a.
52 Weeks Volatility (%) 34.93 Free Float (%) 91.4
Sector & Industry Commercial Services - Miscellaneous Commercial Services
Notes:
  1. Based on latest Full Year results announcement, adjusted for the current number of shares.
  2. Based on latest results announcement (Full Year, Half Year or Interim), adjusted for carrying value of "Other Share Capital", illustrative financial effects of corporate actions (if applicable) and the current number of shares.
  3. Rounded to the nearest thousand. Updated on 07 Apr 2020.Please click here for more information.
  4. Dividend is based on latest Full Year results announcement, adjusted for current number of shares and excludes special dividend.
  5. Summation of the earnings from the latest 4 Quarter (or 2 Half Year) results announcement, adjusted for the current number of shares.
  6. Based on Trailing EPS.
  7. Based on reported cash and cash equivalents at end and extracted from the latest results announcement (Full Year, Half Year or Interim), adjusted for the current number of shares.
  8. Rounded to the nearest thousand. Updated on 18 Mar 2020.

Peer Comparison

Type Name Market Market Cap (M)a PE b Trailing PE c Price / NAV d Dividend Yield (%)d
Reference MIND C.T.I NASDAQ 58.301 11.511 10.953 2.7147 8.873
Industry Miscellaneous Commercial Services NASDAQ 2,046.996 147.655 154.210 7.7071 0.130
Local Peer ETSY INC NASDAQ 25,247.615 72.292 72.292 34.0068 -
Local Peer COPART INC NASDAQ 25,141.766 35.922 35.574 8.5441 -
Local Peer PPD INC NASDAQ 12,176.741 101.344 101.344 -16.3116 -
Local Peer PRA HEALTH SCIENCES INC NASDAQ 9,451.823 47.968 47.968 6.3899 -
Local Peer MARAVAI LIFESCIENCES HLDGS INC NASDAQ 9,168.714 103.052 103.052 - -
Local Peer PHARMING GROUP NV SPON ADS EACH REP 10 ORD SHS NASDAQ 8,518.048 - - - -
Local Peer R1 RCM INC NASDAQ 6,584.085 138.907 138.905 74.9035 -
Local Peer CONCENTRIX CORPORATION NASDAQ 6,354.188 38.554 38.554 2.7602 -
Local Peer CDK GLOBAL INC NASDAQ 6,296.003 30.342 27.711 -14.3579 1.154
Local Peer ADAPTIVE BIOTECHNOLOGIES CORP NASDAQ 5,879.218 - - 7.9100 -
Local Peer MEDPACE HOLDINGS INC NASDAQ 5,629.582 38.845 38.845 6.9865 -
Local Peer GRAND CANYON EDUCATION NASDAQ 4,750.649 18.471 18.471 3.0176 -
Other Local Peers TTEC HOLDINGS INC (NASDAQ), PROGYNY INC (NASDAQ), HMS HOLDINGS CORP (NASDAQ), STAMPS.COM INC (NASDAQ), BANDWIDTH INC (NASDAQ), LAUREATE EDUCATION INC (NASDAQ), ALX ONCOLOGY HLDGS INC (NASDAQ), EVO PAYMENTS INC (NASDAQ), HEALTHCARE SERVICES GROUP INC (NASDAQ), REPAY HOLDINGS CORPORATION (NASDAQ), TELOS CORPORATION (NASDAQ), CARDTRONICS PLC (NASDAQ), PRA GROUP INC (NASDAQ), ICF INTERNATIONAL INC (NASDAQ), PMV PHARMACEUTICALS INC (NASDAQ), FRANCHISE GROUP INC (NASDAQ), PAYA HOLDINGS INC (NASDAQ), CONDUENT INC (NASDAQ), NV5 GLOBAL IN (NASDAQ), HURON CONSULTING GROUP INC (NASDAQ), FORRESTER RESEARCH INC (NASDAQ), SP PLUS CORP (NASDAQ), PAE INCORPORATED (NASDAQ), KIMBALL ELECTRONICS INC (NASDAQ), WILLDAN GROUP INC (NASDAQ), REKOR SYSTEMS INC (NASDAQ), ATOMERA INCORPORATED (NASDAQ), NEWTEK BUSINESS SERVICES CORP COM USD0.02 (NASDAQ), CRA INTERNATIONAL INC (NASDAQ), HACKETT GROUP INC (NASDAQ), MONEYGRAM INTERNATIONAL INC (NASDAQ), VITRU LTD (NASDAQ), RISE EDUCATION CAYMAN LTD SPON ADR EACH REP 2 ORD SHS (NASDAQ), ACACIA RESEARCH CORP (NASDAQ), IDEX BIOMETRICS ASA SPON ADS EACH REP 75 ORD SHS (NASDAQ), CALYXT INC (NASDAQ), CENTOGENE NV (NASDAQ), PAYSIGN INC (NASDAQ), COMSCORE INC (NASDAQ), GAIA INC NEW (NASDAQ), SELECT INTERIOR CONCEPTS INC (NASDAQ), POINTS INTERNATIONAL LTD (NASDAQ), PRGX GLOBAL INC (NASDAQ), CINEDIGM CORPORATION (NASDAQ), INFORMATION SERVICES GROUP INC (NASDAQ), EXICURE INC (NASDAQ), LINCOLN EDUCATIONAL SERVICES CORP (NASDAQ), CELCUITY INC (NASDAQ), TARENA INTL INC SPON ADS EACH REPR 1 ORD SHS (NASDAQ), USIO INC (NASDAQ), ATA CREATIVITY GLOBAL SPON ADS EACH REP 2 ORD SHS (NASDAQ), METEN EDTECHX EDUCATION GROUP LTD (NASDAQ), VIVOS THERAPEUTICS INC (NASDAQ), LIXIANG EDUCATION HLDG SPON ADS EACH REP 5 ORD SHS REG S (NASDAQ), BOXLIGHT CORPORATION (NASDAQ), ALLIED ESPORTS ENTERTAINMENT INC (NASDAQ), VERB TECHNOLOGY COMPANY INC (NASDAQ), ODYSSEY MARINE EXPLORATION (NASDAQ), URBAN GRO INC (NASDAQ), PERFORMANT FINANCIAL (NASDAQ), NXT-ID INC (NASDAQ), CROWN ELECTROKINETICS CORP (NASDAQ), ALJ REGIONAL HOLDINGS INC (NASDAQ), RESEARCH SOLUTIONS INC (NASDAQ), VINCO VENTURES INC (NASDAQ), TRXADE GROUP INC (NASDAQ), ZHONGCHAO INC (NASDAQ), OPGEN INC (NASDAQ), SALARIUS PHARMACEUTICALS INC (NASDAQ), WILHELMINA INTERNATIONAL INC (NASDAQ), LIGHTBRIDGE CORPORATION (NASDAQ), LM FUNDING AMERICA INC (NASDAQ), SPAR GROUP INC (NASDAQ), VERIFYME INC (NASDAQ), CHINA LIBERAL EDUCATION HLDGS LTD (NASDAQ), WAH FU EDUCATION GROUP LIMITED (NASDAQ)
Global Peer RELX PLC SPON ADS EACH REPR 1 ORD SHS GBP0.144 NYSE 46,031.912 29.327 29.327 16.0436 2.720
Global Peer FLEETCOR TECHNOLOGIES INC NYSE 23,549.256 33.440 33.440 7.0183 -
Global Peer EQUIFAX INC NYSE 20,675.550 39.753 39.753 6.5256 0.919
Global Peer PAGSEGURO DIGITAL LTD NYSE 17,470.750 69.768 69.768 9.7417 -
Global Peer BROADRIDGE FINANCIAL SOLUTION INC NYSE 16,499.042 35.674 31.815 11.5056 1.556
Global Peer GARTNER INC NYSE 16,277.752 61.024 61.024 14.9279 -
Global Peer REA GROUP LIMITED ASX 17,953.379 159.765 129.956 18.1254 0.807
Global Peer CHARLES RIVER LABORATORIES NYSE 13,627.200 37.406 37.406 6.4443 -
Global Peer CLARIVATE PLC NYSE 12,937.814 - - 1.3485 -
Global Peer PHARMARON HKEx 98,340.125 158.493 88.104 10.2096 0.131
Other Global Peers CERIDIAN HCM HLDG INC (NYSE), CHEGG INC (NYSE), BOOZ ALLEN HAMILTON HLDG CORP (NYSE), BRIGHT HORIZONS FAM SOLUTIONS INC (NYSE), CAE INC (NYSE), GENPACT LIMITED (NYSE), TRAVELSKY TECH (HKEx), SHIFT4 PAYMENTS INC (NYSE), RITCHIE BROS AUCTIONEERS (NYSE), ADT INC (NYSE), TRINET GROUP INC (NYSE), MAXIMUS INC (NYSE), CHINA EAST EDU (HKEx), CHINA EDU GROUP (HKEx), RESIDEO TECHNOLOGIES INC (NYSE), FTI CONSULTING INC (NYSE), BRINK S COMPANY (NYSE), WNS HOLDINGS LTD SPONS ADR EA REPR 1 ORD SHS (NYSE), ABM INDUSTRIES INC (NYSE), VIVINT SMART HOME INC (NYSE), YUHUA EDU (HKEx), KOOLEARN (HKEx), TAL EDUCATION GROUP SPON ADS EACH REP 0.3333 CL A ORD SHS (NYSE), HOPE EDU (HKEx), TIANLI EDU (HKEx), Nanofilm (SGX), CORPORATE TRAVEL (ASX), CONSTELLIUM SE (FRANCE) (NYSE), LINK ADMINISTRATION HLDGS LTD (ASX), KAR AUCTION SERVICES INC (NYSE), VITROX (Bursa), BROOKFIELD BUSINESS PARTNERS L P (NYSE), BRIGHTVIEW HLDGS INC (NYSE), CBIZ INC (NYSE), EVOLENT HEALTH INC (NYSE), HAITONG UT (HKEx), JMT (SET), IFAST (SGX), MONTROSE ENVIRONMENTAL GROUP INC (NYSE), IPH LTD (ASX), WISDOM EDU INTL (HKEx), DONNELLEY FINANCIAL SOLUTIONS INC (NYSE), NEW HIGHER EDU (HKEx), SCHOLAR EDU (HKEx), VIAD CORP (NYSE), ASENSUS SURGICAL INC (NYSE American), MINSHENG EDU (HKEx), GREENTOWN MGMT (HKEx), VECTRUS INC (NYSE), SMARTGROUP CORPORATION LIMITED (ASX), OMNI BRIDGEWAY LTD (ASX), CHINA VAST (HKEx), MABPHARM-B (HKEx), DIGITAL MEDIA SOLUTIONS INC (NYSE), VICOM Ltd (SGX), PUXIN LIMITED ADS EACH REP 2 ORD SHS (NYSE), The Place Hldg (SGX), BIRMINGHAM SPTS (HKEx), HUIFU PAYMENT (HKEx), C-LINK SQ (HKEx), SAMPLE TECH (HKEx), GLOBAL SHIP LEASE INC (NYSE), CH XINHUA EDU (HKEx), EMERALD HOLDING INC (NYSE), NEUEDU (HKEx), HUALI UNIV GP (HKEx), TUFIN SOFTWARE TECHNOLOGIES LTD (NYSE), FRANKLIN COVEY CO (NYSE), CHEN LIN EDU (HKEx), DATANG ENVIRO (HKEx), SERVICE STREAM LTD (ASX), TEAM INC (NYSE), STARTEK INC (NYSE), ATENTO SA (NYSE), CHINA DISTANCE EDUCATIN HLDGS LTD SPON ADR EACH REP 4 ORD SHS (NYSE), BESTSTUDY EDU (HKEx), CHAYO (SET), SUN INT'L (HKEx), CATAPULT GROUP INTERNATIONAL LTD (ASX), BOL (SET), GP STRATEGIES CORP (NYSE), Prodia Widyahusada Tbk. (IDX), HUMAN (SET), TMT (SET), Bhakti Multi Artha Tbk. (IDX), ATLAN (Bursa), RHYTHM BIOSCIENCES LTD (ASX), CHINA CHUNLAI (HKEx), UNIVERSAL TECHNICAL INSTITUTE (NYSE), PICO FAR EAST (HKEx), SEG (Bursa), TESSERENT LTD (ASX), NETBAY (SET), AUCT (SET), U BANQUET GP (HKEx), GENETIC SIGNATURES LTD (ASX), BRIGHT SCHOLAR EDUCATION HLDGS LTD SPON ADR EACH REP 1 ORD SHS CL A (NYSE), CRMI (HKEx), CLASS LTD (ASX), ONESMART INTL ED GRP LTD SPON EACH ADS REP 40 ORD SHS CLASS A (NYSE), GOLDSTREAM INV (HKEx), Raffles Edu (SGX), GREENLAND BROAD (HKEx), SLD GROUP (HKEx), INNO (Bursa), 3P LEARNING LIMITED (ASX), NVD (SET), SMIT (HKEx), UnUsUaL (SGX), 21CENTURY EDU (HKEx), MAINSTREAM GROUP HOLDINGS LTD (ASX), ELSOFT (Bursa), QANTM INTELLECTUAL PROPERTY LTD (ASX), SO (SET), COUNTPLUS LTD (ASX), CREATIVE HLDGS (HKEx), HK EDU INTL (HKEx), BROOK (SET), GINGKO EDU (HKEx), SCICOM (Bursa), AVA RISK GROUP LTD (ASX), DASHAN EDU (HKEx), WENYE GROUP (HKEx), VMOTO LIMITED (ASX), SLATER & GORDON LIMITED (ASX), PROTEOMICS INTL LABORATORIES LTD (ASX), EARTHASIA (HKEx), Blumont (SGX), IIG (SET), STRAKER TRANSLATIONS LTD (ASX), GTN LTD (ASX), GS Hldg (SGX), LEADER EDU (HKEx), KELLY PARTNERS GROUP HOLDINGS LTD (ASX), NETWORK-1 TECHNOLOGIES INC (NYSE American), STI (SET), MEDIWELCOME (HKEx), 99 TECHNOLOGY LTD CDI (ASX), FOUR SEASONS EDUCATION (CAYMAN) INC ADS EACH REP 0.5 ORD SHS (NYSE), ZONBONG ENVIRO (HKEx), IWS GROUP (HKEx), WONDERFUL SKY (HKEx), RYB EDUCATION INC SPON ADS EACH REP 1 ORD CLASS A SHS (NYSE), BKD (SET), LY Corp (SGX), OURGAME (HKEx), BOJUN EDU (HKEx), Tunas Alfin Tbk. (IDX), PAYRIGHT LTD (ASX), JOHNSON HLDGS (HKEx), OTO (SET), QUICKFEE LTD (ASX), ISELECT LTD (ASX), KOMARK (Bursa), SUNLANDS TECHNOLOGY GROUP SPON ADS EACH REP 0.04 ORD SHS CLASS A (NYSE), URBANISE.COM LIMITED (ASX), CREDIT INTELLIGENCE LTD (ASX), UTS MARKETING (HKEx), ANTERIS TECHNOLOGIES LTD (ASX), TEAMG (SET), EAH (Bursa), WAC HOLDINGS (HKEx), CHINA SMARTPAY (HKEx), CV CHECK LIMITED (ASX), NAMOI COTTON LTD (ASX), CHANHIGH (HKEx), CYPRESS ENVIRONMENTAL PARTNERS LP (NYSE), GLOBAL M HLDG (HKEx), ADWAY (HKEx), MIDLAND IC&I (HKEx), Multifiling Mitra Indonesia Tbk. (IDX), CCID CONSULTING (HKEx), STRAITS (Bursa), NutryFarm (SGX), SECURITY MATTERS LTD (ASX), REDHILL EDUCATION LTD (ASX), WINSON HLDGS HK (HKEx), SFUND INTL HLDG (HKEx), VECTUS BIOSYSTEMS LTD (ASX), AWN HOLDINGS LTD (ASX), MGRC (Bursa), NOVA GROUP (HKEx), FORTUNE SUN (HKEx), GOLDWAY EDU (HKEx), Secura (SGX), DESIGN CAPITAL (HKEx), K W NELSON GP (HKEx), TFP (Bursa), ROYAL CEN RES (HKEx), CHING LEE (HKEx), Dyandra Media International Tbk. (IDX), PICORP (Bursa), MILLENNIUM SERVICES GROUP LTD (ASX), LCK Global Kedaton Tbk. (IDX), HYGIEIA GROUP (HKEx), ZICO Hldgs (SGX), STARLITE HOLD (HKEx), MCLEAN (Bursa), C DIGITAL CUL (HKEx), XH NEWS MEDIA (HKEx), PUREPROFILE LIMITED (ASX), KNK HOLDINGS (HKEx), LINOCRAFT HLDGS (HKEx), DAOHE GLOBAL (HKEx), SYNERGIS HOLD (HKEx), SIS MOBILE (HKEx), Chasen (SGX), TSO (HKEx), OOH HOLDINGS (HKEx), RAFFLESINTERIOR (HKEx), KYCKR LIMITED (ASX), LUMINA GROUP (HKEx), ISENTIA GROUP LIMITED (ASX), EBROKER GROUP (HKEx), SPEEDY GLOBAL (HKEx), CHINA ORIENTED (HKEx), Lasseters Intl (SGX), AEC GROUP (HKEx), HEXIMA LIMITED (ASX), ASIAPAC FIN INV (HKEx), HOPE LIFE INT (HKEx), VICTOR GROUP HOLDINGS LTD (ASX), GREATWALLE INC (HKEx), SITE GROUP INTERNATIONAL LIMITED (ASX), Indo Komoditi Korpora Tbk. (IDX), ARIP (SET), ORIENTAL PAY (HKEx), SANBASE CORP (HKEx), Protech Mitra Perkasa Tbk. (IDX), HSSP INTL (HKEx), DOWWAY (HKEx), SYNERGY GROUP (HKEx), MEDIBIO LIMITED (ASX), CONNEXION TELEMATICS LTD (ASX), GSC (SET), K (SET), ETS GROUP (HKEx), MVP (SET), ENERGY ACTION LTD (ASX), PPS INT'L (HKEx), DADI EDU (HKEx), ALTERRA LTD (ASX), BIOXYNE LIMITED (ASX), Beng Kuang (SGX), RMG (ASX), AL GROUP (HKEx), PROPTECH GROUP LTD (ASX), PHOENITRON HOLD (HKEx), ROMA GROUP (HKEx), Limas Indonesia Makmur Tbk (IDX), TSF (SET), PROPERTY CONNECT HOLDINGS LTD (ASX)
Notes:
  1. For companies, Market Cap is based on the trading currency of the company. Industry/Index Market Cap is the average market cap for that industry/index.
  2. Industry/Index PE is calculated using (Total Market Cap/Total Earnings) of all companies in the industry/index.
  3. Industry/Index Price/NAV is calculated using (Total Market Cap/Total Shareholders' Equity) of all companies in the industry/index.
  4. Industry/Index Dividend Yield is calculated using (Total Gross Dividend/Total Market Cap) of all companies in the industry/index.
  5. For Industry/Index calculation, data for foreign currency denominated companies will be converted to the main market currency using the latest exchange rate.
  6. Industry/Index/Peers data is updated daily.
  7. Peers are sorted by market capitalisation and only details for the top 10 will be shown.

Total Shareholder Return

PeriodDividend ReceivedCapital AppreciationTotal Shareholder Return
Short Term Return 5 Days --0.085
-2.82 %
10 Days --0.140
-4.56 %
20 Days -+0.290
+10.98 %
Medium Term Return 3 Months -+0.430
+17.20 %
6 Months -+0.610
+26.29 %
1 Year 0.240+0.490
+29.92 %
Long Term Return 2 Years 0.500+0.530
+42.92 %
3 Years 0.500+0.520
+42.32 %
5 Years 1.120+0.800
+90.14 %
Annualised Return Annualised --
+13.71 %
Notes:
  1. Total Shareholder Return (TSR) combines share price appreciation and dividends paid to show the total return to the shareholder expressed as a percentage.
  2. Script dividends are ignored in this calculation.

Price Movements

1 Year Range 1.450 - 3.230 Change From 1 Year Low +1.480 % Change From 1 Year Low (%) +102.07
Change From 1 Year High -0.300 % Change From 1 Year High (%) -9.29
2 Years Range 1.450 - 3.230 Change From 2 Years Low +1.480 % Change From 2 Years Low (%) +102.07
Change From 2 Years High -0.300 % Change From 2 Years High (%) -9.29
5 Years Range 1.450 - 3.230 Change From 5 Years Low +1.480 % Change From 5 Years Low (%) +102.07
Change From 5 Years High -0.300 % Change From 5 Years High (%) -9.29
Notes:
  1. Price movements are based on adjusted historical data.

Company Background

MIND C.T.I. Ltd. engages in the development, manufacture, market, and implementation of real-time and off-line convergent billing and customer care software solutions for various types of communication providers. It operates through Billing and Related Services, and Messaging segments. The company was founded by Monica Iancu on April 6, 1995 and is headquarters in Yokneam, Israel.

Historical Price Data

Date Open High Low Close Volume VWAP
05 Mar 2021 2.910 2.940 2.860 2.930 111,913 -
04 Mar 2021 3.040 3.040 2.910 2.950 119,385 -
03 Mar 2021 3.000 3.050 3.000 3.040 67,350 -
02 Mar 2021 3.000 3.050 3.000 3.030 57,600 -
01 Mar 2021 3.060 3.070 3.010 3.040 49,143 -
26 Feb 2021 3.020 3.040 3.000 3.015 28,769 -
25 Feb 2021 3.060 3.090 3.000 3.000 84,250 -
24 Feb 2021 3.050 3.100 3.020 3.060 44,830 -
23 Feb 2021 3.060 3.093 3.000 3.040 56,791 -
22 Feb 2021 3.050 3.110 3.050 3.060 71,613 -
19 Feb 2021 3.080 3.100 3.060 3.070 59,253 -
18 Feb 2021 3.020 3.090 3.010 3.020 66,920 -
17 Feb 2021 3.110 3.230 3.010 3.030 147,982 -
16 Feb 2021 2.950 3.110 2.930 3.030 361,773 -
12 Feb 2021 2.780 2.820 2.780 2.820 129,573 -
11 Feb 2021 2.770 2.800 2.749 2.780 55,733 -
10 Feb 2021 2.760 2.800 2.669 2.740 99,628 -
09 Feb 2021 2.690 2.800 2.680 2.750 326,603 -
08 Feb 2021 2.700 2.700 2.650 2.680 165,925 -
05 Feb 2021 2.600 2.650 2.570 2.640 98,730 -
04 Feb 2021 2.600 2.600 2.560 2.560 48,061 -
03 Feb 2021 2.590 2.607 2.550 2.600 43,533 -
Summary
Current 2 Weeks
(22 Feb 2021 to 05 Mar 2021)
3.050 3.110 2.860 2.930 691,644 -
Previous 2 Weeks
(05 Feb 2021 to 19 Feb 2021)
2.600 3.110 2.570 3.070 1,512,120 -
4 Weeks from
(07 Jan 2021 to 04 Feb 2021)
2.710 3.110 2.542 2.560 1,165,249 -
View All Historical Data

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