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Marfin Investment Group Holdings S.A

MIG AT
3.60-0.02  (0.55%)
Estimate
P/E
120
EPS
0.03
Beta
-0.151
About the company
Ticker
MIG
ISIN
GRS314003005
Country
Greece
Sector (GICS)
Consumer Staples
MIG Holdings S.A., an investment holding company, focuses on investment in equities in Greece and South-Eastern Europe. The company engages in the real estate management; ship management; overseas and coastal transportation; production and distribution of dairy products, animal feed, vegetables, and frozen foods; restaurants and café-patisseries; and beverage and fast-food businesses. It also provides education services; integrated software solutions; IT systems and software applications; aircraft maintenance and repair; advertising services; and computer and software solutions, as well as its related application services. The company is based in Athens, Greece.

Frequently asked questions

What sector does Marfin Investment Group Holdings S.A (MIG) operate in?

Marfin Investment Group Holdings S.A belongs to the Consumer Staples sector and operates in the Packaged Foods industry.

What is Marfin Investment Group Holdings S.A (MIG) current stock price?

As of the latest data, Marfin Investment Group Holdings S.A stock price is €3.60, with a previous close of €3.62. Marfin Investment Group Holdings S.A lost -€0.02 in the last trading session, representing a -0.55% loss.

What is Marfin Investment Group Holdings S.A (MIG) current market capitalization?

Marfin Investment Group Holdings S.A market cap is approximately 113.04 million.

What is Marfin Investment Group Holdings S.A (MIG) Earnings Per Share (EPS)?

The trailing EPS is €0.03.

What is Marfin Investment Group Holdings S.A (MIG) Price-to-Earnings (P/E) ratio?

Marfin Investment Group Holdings S.A current P/E ratio is 120.

Does Marfin Investment Group Holdings S.A (MIG) pay dividends?

No. Marfin Investment Group Holdings S.A does not pay a dividend.

What is Marfin Investment Group Holdings S.A (MIG) beta (volatility) score?

Marfin Investment Group Holdings S.A has a beta of -0.151, indicating lower volatility than the overall market.