|Elron Electronic Industries Ltd -- USA Stock|| |
USD 4.51 0.01 0.22%
Mr. Niv Levy serves as Finance Director at Elron Electronic Industries Ltd. since December 25, 2011. His work experience includes the following roles Reporting and Tax Manager at the Company and Accountant and Auditor at Kost Forer Gabbay Kasierer . He holds a LLB degree, a Bachelors degree in Accounting and a MBA degree, all from Tel Aviv University.
Age: 40 Executive Since 2011 MBA
972 3 607 5555 http://www.elron.com
The company has return on total asset (ROA)
of (3.52) %
which means that it has lost $3.52 on every $100 spent on asset. This is way below average. Similarly, it shows return on equity (ROE)
of (19.32) %
meaning that it generated substantial loss on money invested by shareholders.
Elron Electronic Industries Ltd., through its subsidiaries, operates in various technology fields comprising medical devices, cyber security, information technology, and enterprise software. Elron Electronic Industries Ltd. is a subsidiary of Discount Investment Corporation Limited. Elron Electronic operates under Conglomerates classification in USA and traded on OTC Market.Elron Electronic Industries Ltd (ELRNF) is traded on OTC Market in USA. It is located in 3 Azrieli Center and employs 17 people.
Elron Electronic Ind Leadership Team
|Ehud Rassabi, Director|
|Yael Andorn, Director, MBA|
|Ari Bronshtein, CEO|
|Gerardo Tyszberowicz, Director|
|Gabriel Barbash, Director|
|Arie Ovadia, Director, MBA|
|Yaron Elad, CFO|
|Saul Zang, Director|
|Yehuda Freidenberg, Director|
|Doron Cohen, Executive|
|Niv Levy, Executive, MBA|
|Eduardo Elsztain, Director|
|LeeBath Nelson, Director|
|Zohar Rozenberg, President, MBA|
|Amiram Erel, Director|
|Benjamin Gantz, Director|
|Haim Gavrieli, Director|
Stock Performance Indicators
Most of Macroaxis users are currently bullish on Elron Electronic Industries Ltd. What is your opinion about investing in Elron Electronic Industries Ltd? Are you bullish or bearish?
The main assumption in equity investing is that a higher degree of volatility (or risk) means a higher potential (or expected) return on investment. Conversely, investors who take on a low degree of risk have a low expection for return.
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.