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PGM

PMPG Polskie Media S.A.

PGM WAR
2.030.00  (0%)
Estimate
EPS
-0.75
Beta
0.16
Growth
Revenue, YoY
-9.26%
Net income, YoY
27.44%
FCF, YoY
77.26%
About the company
Ticker
PGM
ISIN
PLPEKPL00010
Country
Poland
Sector (GICS)
Communication Services
PMPG Polskie Media SA, through its subsidiaries, operates in the traditional and new media markets. The company publishes Wprost, a digitally published social and information portal and weekly opinion magazine; and Tygodnik Lisickiego Do Rzeczy magazines. It also publishes in the Internet websites, such as wprost.pl, dorzeczy.pl, and superhistoria.pl. In addition, the company provides advertising and printing services. Further, it engages in the production of films, video, and television programs; and publishing activities in the field of computer games; publishes books, newspapers, magazines and periodicals. The company was formerly known as Platforma Mediowa Point Group Spólka Akcyjna and changed its name to PMPG Polskie Media SA in December 2014. PMPG Polskie Media SA was founded in 1997 and is headquartered in Warsaw, Poland.

Frequently asked questions

What sector does PMPG Polskie Media S.A. (PGM) operate in?

PMPG Polskie Media S.A. belongs to the Communication Services sector and operates in the Publishing industry.

What is PMPG Polskie Media S.A. (PGM) current stock price?

As of the latest data, PMPG Polskie Media S.A. stock price is PLN 2.03, with a previous close of PLN 2.03.

What is PMPG Polskie Media S.A. (PGM) current market capitalization?

PMPG Polskie Media S.A. market cap is approximately 18.84 million.

What is PMPG Polskie Media S.A. (PGM) Earnings Per Share (EPS)?

The trailing EPS is -PLN 0.75.

What is PMPG Polskie Media S.A. (PGM) EBITDA?

PMPG Polskie Media S.A. EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is -1.10 million.

Does PMPG Polskie Media S.A. (PGM) pay dividends?

No. PMPG Polskie Media S.A. does not pay a dividend.

What is PMPG Polskie Media S.A. (PGM) beta (volatility) score?

PMPG Polskie Media S.A. has a beta of 0.160, indicating lower volatility than the overall market.