The Weir Group PLC (WEIR) — analisi fondamentale e valutazione

The Weir Group PLC e' una societa' quotata del settore Industrials, GBR, con codice di borsa WEIR su LSE.

The Weir Group PLC, together with its subsidiaries, produces and sells highly engineered original equipment worldwide. The company operates in two segments, Minerals and ESCO. The Minerals segment offers engineering, manufacturing, and service processing technology for the use in abrasive and high-wear mining applications; and differentiated technology for the use in infrastructure and general industrial markets. This segment provides cloud-based artificial intelligence solutions to the mining industry. The ESCO segment provides ground engaging tools for mining machines. In addition, the company offers aftermarket products, wear parts, equipment attachments, and processing equipment. Further, it provides field services comprising commissioning and ongoing support services; rebuild and repair services; digital services; and process optimization services. The company offers its products and services under the Cavex, Enduron, ESCO, GEHO, Linatex, Motion Metrics, Next, Warman, Accumin, All-Cast, Arterra, Aspir, Bucyrus Blades, Carbide Plus, Delta Industrial, GeoVor, HYDRAU-FLO, Infinity, Isogate, Kwik-Lok, Lewis, Linacure, Linagard, Linard, Loadmaster, MaxTemp, Multiflo, Nemisys, Nexsys, Posilok, Production Master, ProFill, Sandmaster, Super V, SV2, TopLock, Trio, UltraEdge, Ultrlok, Uni-Lok, Vertasys, Vulco, and Whisler Plus brands. The Weir Group PLC was founded in 1871 and is headquartered in Glasgow, the United Kingdom.

Dati di mercato

Analisi quantitativa ForwardAlpha

ForwardAlpha calcola per The Weir Group PLC un Value Score, un Growth Score e un Best Score proprietari, ottenuti confrontando la societa' con tutte le altre del suo mercato su valutazione, crescita degli utili e dei ricavi e andamento del prezzo. I punteggi sono riservati agli utenti registrati: l'iscrizione e' gratuita.

Cosa trovi nella scheda

Grafico dei prezzi a cinque anni, rendimenti a una settimana, un mese, sei mesi, dodici mesi, tre e cinque anni, multipli di valutazione, confronto con la media del settore e posizionamento nel proprio mercato di quotazione.

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