Last €0.28 EUR
Change Today -0.003 / -1.05%
Volume 32.7K
PR On Other Exchanges
Symbol
Exchange
Stuttgart
As of 11:30 AM 08/27/14 All times are local (Market data is delayed by at least 15 minutes).

premuda spa (PR) Snapshot

Open
€0.28
Previous Close
€0.29
Day High
€0.30
Day Low
€0.28
52 Week High
03/24/14 - €0.43
52 Week Low
10/1/13 - €0.21
Market Cap
53.2M
Average Volume 10 Days
47.7K
EPS TTM
€-0.17
Shares Outstanding
187.7M
EX-Date
06/20/11
P/E TM
--
Dividend
--
Dividend Yield
--
Current Stock Chart for PREMUDA SPA (PR)

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premuda spa (PR) Details

Premuda S.p.A. operates as a shipping company in Italy. It primarily transports liquid and dry goods in bulk employing its own ships and those of third parties. The company is also engaged in the oil off-shore business; and transportation of oil and derivative products. Premuda S.p.A. was founded in 1907 and is headquartered in Genoa, Italy.

Founded in 1907

premuda spa (PR) Top Compensated Officers

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Executives, Board Directors

premuda spa (PR) Key Developments

Premuda SpA, Annual General Meeting, Jun 25, 2014

Premuda SpA, Annual General Meeting, Jun 25, 2014.

Premuda SpA, Board Meeting, May 14, 2014

Premuda SpA, Board Meeting, May 14, 2014. Agenda: To approve the financial results for 2013.

Premuda SpA Announces Company and Consolidated Earnings Results for Full Year Ended Dec. 31, 2013

Premuda SpA announced company and consolidated earnings results for full year ended Dec. 31, 2013. For the year, on company basis, the company reported net revenue of €37,988,256, operating loss of €5,220,684, loss before tax of €4,628,853, net loss of €4,628,853 or €0.025 per share, total cash flow from operating activities of €4,108,343, investment in tangible assets of €223,161 compared to the net revenue of €45,301,910, operating loss of €19,165,032, loss before tax of €18,292,644, net loss of €18,332,644 or €0.097 per share, total cash flow from operating activities of €7,032,062, investment in tangible assets of €2,935,866 for the previous year. For the year, on consolidated basis, the company reported net revenue of €76,683,000, operating loss of €20,832,000, loss before tax of €32,568,000, net loss of €32,747,000 or €0.174 per share, total cash flow from operating activities of €21,991,000, investment in tangible assets of €10,148,000 compared to the net revenue of €110,991,000, operating loss of €23,583,000, loss before tax of €47,711,000, net loss of €47,942,000 or €0.255 per share, total cash flow from operating activities of €22,061,000, investment in tangible assets of €19,938,000 for the previous year.

 

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