Amica S.A. engages in the production and sale of electric and gas household appliances in Poland and internationally. It provides freestanding cookers, built-in cookers and ovens, wine coolers, drawers, hobs, refrigerators, washing machines, hoods, dryers, dishwashers, microwave ovens, and other kitchen products. The company also offers small household appliances. In addition, it provides consulting and IT services; commercial services; licensing and maintenance services; hotel and catering services; and real estate management services. Further, the company trades in household appliances and generates electricity. It sells its products under the Amica, Hansa, Gram, CDA, and FAGOR brand names. The company was formerly known as Amica Wronki S.A. and changed its name to Amica S.A. in August 2016. Amica S.A. is headquartered in Wronki, Poland.
Frequently asked questions
What sector does Amica S.A. (AMC) operate in?
Amica S.A. belongs to the Consumer Discretionary sector and operates in the Furnishings, Fixtures & Appliances industry.
What is Amica S.A. (AMC) current stock price?
As of the latest data, Amica S.A. stock price is PLN 50.00, with a previous close of PLN 50.70. Amica S.A. lost -PLN 0.70 in the last trading session, representing a -1.38% loss.
What is Amica S.A. (AMC) current market capitalization?
Amica S.A. market cap is approximately 383.57 million.
What is Amica S.A. (AMC) Earnings Per Share (EPS)?
The trailing EPS is PLN 3.70.
What is Amica S.A. (AMC) Price-to-Earnings (P/E) ratio?
Amica S.A. current P/E ratio is 13.51.
Does Amica S.A. (AMC) pay dividends?
Yes. Amica S.A. pays annual dividends with an annualized yield of 5% and an estimated annual payout of PLN 2.50 per share.
When is the next ex-dividend date for Amica S.A. (AMC)?
The next ex-dividend date is scheduled for July 07, 2027.
When is Amica S.A. (AMC) next earnings report?
Amica S.A. is expected to release its next earnings report on June 30, 2026.
What is Amica S.A. (AMC) beta (volatility) score?
Amica S.A. has a beta of 0.571, indicating lower volatility than the overall market.