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SPNT

Spuntech

SPNTC TA
2.279-0.041  (1.77%)
Estimate
P/E
13.4
EPS
0.17
Beta
0.194
Growth
Revenue, YoY
-7.47%
Net income, YoY
3.3%
FCF, YoY
89.16%
About the company
Ticker
SPNTC
ISIN
IL0010901176
Country
Israel
Sector (GICS)
Consumer Staples
N.R. Spuntech Industries Ltd. produces, markets, and sells non-woven fabrics in Israel, North America, Europe, Central and South America, and internationally. The company offers dry, disinfecting, hard surface scrubbing, window, bathroom, automobile, and glass wipes; medical swabs and gauzes, bleach wipes, bandages and tapes, germicidal wipes, medicated wipes, and other wipes; pads, face masks, make-up removal, soap impregnated facial, face care, and feminine hygiene wipes; baby wipes; commercial multipurpose and hard surface scrubbing wipes; and HVAC filters. Its products are used for household, medical, cosmetics and feminine care, baby, and industrial applications. N.R. Spuntech Industries Ltd. was incorporated in 1996 and is based in Tiberias, Israel. N.R. Spuntech Industries Ltd. operates as a subsidiary of Nissan Medical Industries Ltd.

Frequently asked questions

What sector does Spuntech (SPNTC) operate in?

Spuntech belongs to the Consumer Staples sector and operates in the Textile Manufacturing industry.

What is Spuntech (SPNTC) current stock price?

As of the latest data, Spuntech stock price is ₪2.28, with a previous close of ₪2.32. Spuntech lost -₪0.04 in the last trading session, representing a -1.77% loss.

What is Spuntech (SPNTC) current market capitalization?

Spuntech market cap is approximately 151.36 million.

What is Spuntech (SPNTC) Earnings Per Share (EPS)?

The trailing EPS is ₪0.17.

What is Spuntech (SPNTC) Price-to-Earnings (P/E) ratio?

Spuntech current P/E ratio is 13.41.

What is Spuntech (SPNTC) EBITDA?

Spuntech EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) is 4.72 million.

Does Spuntech (SPNTC) pay dividends?

No. Spuntech does not pay a dividend.

What is Spuntech (SPNTC) beta (volatility) score?

Spuntech has a beta of 0.194, indicating lower volatility than the overall market.