QV Equities Limited Share Price

Equities

QVE

AU000000QVE7

Diversified Investment Services

Market Closed - Australian S.E. 10:56:49 29/04/2024 am IST 5-day change 1st Jan Change
0.975 AUD +1.04% Intraday chart for QV Equities Limited +1.04% +10.17%

Financials

Sales 2022 9.87M 6.48M 540M Sales 2023 12.88M 8.46M 706M Capitalization 213M 140M 11.66B
Net income 2022 6M 3.94M 329M Net income 2023 9M 5.91M 493M EV / Sales 2022 18.5 x
Net cash position 2022 32.09M 21.08M 1.76B Net cash position 2023 17.12M 11.24M 938M EV / Sales 2023 15.2 x
P/E ratio 2022
35.4 x
P/E ratio 2023
23.3 x
Employees -
Yield 2022
5.13%
Yield 2023
5.56%
Free-Float 88.27%
More Fundamentals * Assessed data
Dynamic Chart

Latest transcript on QV Equities Limited

1 day+1.04%
1 week+1.04%
Current month-2.01%
1 month-1.52%
3 months+7.73%
6 months+13.37%
Current year+10.17%
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1 week
0.97
Extreme 0.965
0.98
1 month
0.96
Extreme 0.96
0.99
Current year
0.88
Extreme 0.88
1.01
1 year
0.85
Extreme 0.85
1.01
3 years
0.85
Extreme 0.85
1.08
5 years
0.61
Extreme 0.61
1.08
10 years
0.61
Extreme 0.61
1.40
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Managers TitleAgeSince
Chief Operating Officer - 29/16/29
Corporate Officer/Principal - -
Members of the board TitleAgeSince
Director/Board Member 63 30/14/30
Director/Board Member - 14/16/14
Chairman 73 17/14/17
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Date Price Change Volume
29/24/29 0.975 +1.04% 119 218
26/24/26 0.965 -0.52% 229,660
24/24/24 0.97 0.00% 122,623
23/24/23 0.97 +0.52% 90,275
22/24/22 0.965 +0.52% 174,164

Delayed Quote Australian S.E., April 29, 2024 at 10:56 am IST

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QV Equities Limited is an Australia-based investment company. The principal activity of the Company is making investments in a diversified portfolio of entities listed on the Australian Securities Exchange, which are not included in the S&P/ASX 20 Index. The Company’s primary objective is to deliver long-term value to shareholders through a combination of capital growth and income by investing in a diversified portfolio of ASX-listed entities outside the S&P/ASX20 Index. The Company aims to achieve after-fee returns over a five-year-plus investment period higher than the S&P/ASX300 Accumulation Index, excluding that part of the return generated by S&P/ASX20 Accumulation Index securities. It invests in various sectors, such as financials, materials, healthcare, utilities, industrials, energy, communication services, consumer staple and information technology. The Company's investment manager is Investors Mutual Limited.
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