Macroaxis: Personalized Investing
Simple Personalized Investing

DSY PHA CGD LSS Financials Investing Plastics Railroads 
Benchmark SP 500  1,650   0.91  Index Moved Down -0.06% ...


Processing
Processing. Please wait...

Pacte Return On Equity

 
 Companies |  Insiders  | Dashboard  
     

Return On Equity breakdown for Pacte

Return on Equity or ROE tells company stockholders how effectually their money is being utilized or reinvested. It is a useful ratio when analyzing company profitability or the management effectiveness given the capital invested by the shareholders. ROE shows how effecently a company utilizes investments to generate income.

Pacte

Return on Equity

=

Net Income

Total Equity

X

100

=
11.05 %
For most industries Return on Equity between 10% and 30% are considered desirable to provide dividends to owners and have funds for future growth of the company. Investors should be very careful using ROE as the only efficiency indicator because ROE can be high if a company is heavily leveraged.
Compare Pacte to competition

Pacte Return On Equity Assessment

Based on latest financial disclosure Pacte Novation has Return On Equity of 11.05%. This is 162.25% lower than that of Technology sector, and 180.95% lower than that of Technical and System Software industry, The Return On Equity for all stocks is 294.54% lower than the firm.

Filter other Stocks by Return On Equity

Select Return On Equity Range
Current Range 
Indicate Industry
Click to run this filter
 Run Equity Filter
Filter Other Equities
  

Return On Equity Comparison

Pacte is currently under evaluation in return on equity category among related companies.
Follow Pacte Return On Equity with Macroaxis syndicated feed, custom widget, or your favorite custom stock ticker
Add To Reader
 
Add Pacte to your reader
 
    
MLPAC France Paris #FR0000077992FR
Pacte Novation
Benchmark S&P 500
Currency: EUR - Euro
Traded on Paris Stock Exchange
    
    

Other Pacte Fundamentals

Return On Equity11.05 %
Return On Asset1.59 %
Profit Margin0.92 %
Operating Margin1.00 %
Current Valuation1.55 M
Shares Outstanding512 K
Price to Earning19.36 times
Price to Book2.02 times
Price to Sales0.18 times
Revenue8.72 M
Gross Profit5 M
EBITDA122.12 K
Net Income80.16 K
Current Ratio1.12 times
Book Value Per Share1.49 times
Cash Flow from Operations255 K
One Year High3.02
One Year Low0.88
Earnings Per Share0.16 times
Number of Employees105
Market Capitalization1.55 M
Total Asset4 M
Current Asset3 M
Current Liabilities3 M
Z Score1.998
Probability Of Bankruptcy38.01 %


 
Analytics
Risk Adjusted Returns Landscape
Live Efficient Frontier
Market Correlation Analysis
Watchlist Analysis
Financial Content
Portfolio Estimation and Projections
Portfolio Theme Builder
 
 
Research Modules
Equities Backtesting Analysis
Instant Retirement Optimizer
Cross-portfolio RSS and Mobile Access
Company, fund, and ETF Directory
Financial Advisor Directory
Insider and Manager Directory
Wealth Management
 Gadgets, Widgets, and Apps          
  
 
Services And Technology
Frequently Asked Questions
Quick Product Tour
Product Technology Overview
Solution Methodology
Plans and Pricing
 
Free Investor Tools
World Market Correlations
Instant Equity Comparator
Watchlist Analysis
Position Suggestions
Equity Alpha Analysis
 
About Us
About Macroaxis
Contact Us
Product Terms Of Use
Service Privacy Policy
Advertising Opportunities
Content

Thanks for checking out Macroaxis

Tell us what you like and what you don't like. We promise we'll not only listen but write you back

Contact Us
Macroaxis is user-driven community of investors. We appreciate any feedback or comment you can provide. Please fill out our quick survey to help us provide your with a better service and user experience

Fill Out Quick Survey
Most of the functionality on our site is free to use. However we do provide premium service to sophisticated investors. Our premium subscription will give you unprecedented capabilities to optimize your portfolios using robust financial analysis toolkit, fast mean-variance optimization engine, and proven portfolio theory

Go Premium