|Crimson Wine Group Ltd -- USA Stock|| |
USD 9.20 0.05 0.54%
IR Contact Officer
We currently do not have informatin regarding Evan Pondel. This executive tanure with Crimson Wine Group Ltd is not currenlty determined.
The company has return on total asset (ROA)
of 1.47 %
which means that it generated profit of $1.47 on every $100 spent on asset. This is way below average. Similarly, it shows return on stockholders equity (ROE)
of 2.93 %
meaning that it created $2.93 on every $100 dollars invested by stockholders.
The company currently holds 24.43 M in liabilities with Debt to Equity (D/E) ratio of 11.4 indicating the company may have difficulties to generate enough cash to satisfy its financial obligations. Crimson Wine Group Ltd has Current Ratio of 9.0 suggesting that it is liquid enough and is able to pay its financial obligations when they are due.
Crimson Wine Group, Ltd., through its subsidiaries, engages in the production and sale of ultra-premium and wines. Crimson Wine Group, Ltd. is a subsidiary of Leucadia National Corporation. Crimson Wine operates under Beverages - Wineries Distilleries classification in USA and traded on OTC Market. It employs 178 people.Crimson Wine Group Ltd (CWGL) is traded on OTC Market in USA. It is located in CALIFORNIA, U.S.A and employs 178 people. Crimson Wine is listed under Beer and Liquor category by Fama And French industry classification.
Crimson Wine Group Leadership Team
|Mike Cekay, SVP|
|Avraham Neikrug, Director|
|Ian Cumming, Chairman|
|Shannon McLaren, CFO|
|Evan Pondel, Executive|
|Joseph Steinberg, President|
|Francesca Schuler, Director|
|Patrick Delong, CEO|
|John Cumming, Director|
|Douglas Carlson, Director|
|Natasha Hayes, President|
|Craig Williams, Director|
Stock Performance Indicators
Most of Macroaxis users are currently bullish on Crimson Wine Group Ltd. What is your opinion about investing in Crimson Wine Group Ltd? Are you bullish or bearish?
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You can create optimal portfolios in USA market or optimize your existing portfolio in one of two ways: 1)
For any level of risk, select the one which has the highest expected return. 2)
For any expected return, select the one which has the lowest volatility.