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ALEX

Alexandria Group Oyj

ALEX HE
15.35+0.30  (1.99%)
Estimate
P/E
20.7
EPS
0.74
Beta
0.854
Forecast
P/E (FWD)
14.5
EPS (FWD)
1.06
Dividends
Dividend yield
4.56%
Annual payout
0.70
Next ex. div date
September 13, 26
Payout
112.88%
Dividend growth streak
2 y
Div.rating
About the company
Ticker
ALEX
ISIN
Country
Finland
Sector (GICS)
Financials
Alexandria Group Oyj provides investment and savings insurance products in Finland. It offers funds; structured investment products; and investment-linked products, such as unit-linked savings and investment insurance products. The company also provides wealth management services to wealthy individuals and institutions; and asset management and legal services. The company was incorporated in 1996 and is based in Helsinki, Finland.

Frequently asked questions

What sector does Alexandria Group Oyj (ALEX) operate in?

Alexandria Group Oyj belongs to the Financials sector and operates in the Asset Management industry.

What is Alexandria Group Oyj (ALEX) current stock price?

As of the latest data, Alexandria Group Oyj stock price is €15.35, with a previous close of €15.05. Alexandria Group Oyj gained €0.30 in the last trading session, representing a 1.99% increase.

What is Alexandria Group Oyj (ALEX) current market capitalization?

Alexandria Group Oyj market cap is approximately 169.70 million.

What is Alexandria Group Oyj (ALEX) Earnings Per Share (EPS)?

The trailing EPS is €0.74, and the forward EPS is €1.06.

What is Alexandria Group Oyj (ALEX) Price-to-Earnings (P/E) ratio?

Alexandria Group Oyj current P/E ratio is 20.74, with a forward P/E of 14.48.

Does Alexandria Group Oyj (ALEX) pay dividends?

Yes. Alexandria Group Oyj pays semiannual dividends with an annualized yield of 4.56% and an estimated annual payout of €0.70 per share.

When is the next ex-dividend date for Alexandria Group Oyj (ALEX)?

The next ex-dividend date is scheduled for September 13, 2026.

What is Alexandria Group Oyj (ALEX) beta (volatility) score?

Alexandria Group Oyj has a beta of 0.854, meaning its volatility is roughly in line with the market.