Category: Issuer risk

  • Issuer risk: July 2026

    📊 Finanzkennzahlen Die finanzielle Situation von Lang & Schwarz präsentiert sich im Juli 2026 insgesamt robust. Das Unternehmen profitierte im ersten Quartal 2026 von einem außergewöhnlich hohen Handelsvolumen und erzielte mit rund 64 Mio. Euro das höchste Quartalsergebnis aus der Handelstätigkeit in der Unternehmensgeschichte. Die Ertragskraft bleibt grundsätzlich hoch, auch wenn das Management aufgrund veränderter…

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  • Issuer risk: April 2026

    📊 Financial Ratios: The balance sheet structure shows a solid equity ratio, ensuring a stable financial foundation and providing scope for future investments. Profitability is convincing, characterized by consistent results based on a balanced ratio of expenses to revenues. Liquidity ratios indicate sufficient solvency, enabling the reliable fulfillment of short-term obligations. The quality of earnings is ensured by…

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  • Issuer risk: January 2026

    Fundamental Analysis Lang & Schwarz 1. Financial Ratios 2. Profit and Distribution Policy 3. Risk Factors 4. Opportunities Assessment of Issuer Risk Comparison Table – Opportunities vs. Risks Factor Opportunities Risks Valuation (P/E Ratio) Attractively low (approx. 8.2) Limited growth potential in stagnant markets Dividend Policy High yield, shareholder-friendly Payout ratio of 75% % reduces flexibility Equity capital Fund for bank risks strengthened Dependence on trading volume remains…

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