0Q

Gurktaler AGLSE Gurktaler Stock Report

Last reporting period 30 Sep, 2023

Updated —

Last price

Market cap $B

0.018

Micro

Exchange

XLON - London Stock Exchange

View Section: Eyestock Rating

Gurktaler Fair Value

0Q

The fair market value of 0QSB.L stock is 11.71 EUR. Relative to the market price of 0 EUR Gurktaler is undervalued by 74.8%

Eyestock's quantitative valuation approach is based on the method of estimating historical multipliers. To determine whether a stock is undervalued, we compare its current price to our estimated of fair value. The more undervalued a stock is, the more investment is profitable.

Fair Relative Value

Gurktaler Valuation

The fair value level of 11.71 EUR can be considered as an effective entry point for long-term investors to start investing in 0QSB.L stock. For a more in-depth assessment, we provide a minimum value that can be used to increase a stock position and a maximum one that can be used to reduce it.

Price chart is not available

1y
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All time
Market price

Current market price

Fair value

Min value

Max value

30.10.2024

Market price:

* Eyestock is not operated by a broker, a dealer, or a registered investment adviser. Under no circumstances does any information posted on eyestock.io represent a recommendation to buy or sell a security.

0QSB.L stock is greatly undervalued

It means the current price may concern as a Low Risk Entry Point

Gurktaler AG Stock Valuation Calculator

How do we value a stock?

As fair value, we use the product of the median Price-to-earnings ratios at the end of each reporting period for the last 5 years and earnings per share for the last 12 months. By analogy with the fair value, we calculate the maximum and minimum ones using the corresponding P/E extremums.

1

Maximum P/E over 5 years

21.06

2

Median P/E over 5 years

11.97

3

Minimum P/E over 5 years

7.54

4

Earning per share (last 12 months)

0.98 EUR

Maximum value

1

x

4

=

20.61 EUR

Fair value

2

x

4

=

11.71 EUR

Minimum value

3

x

4

=

7.39 EUR

Gurktaler AG price metrics

Annual return (geometric mean)

Risk (standard deviation) of returns

β

-0.51

Beta (volatility compared to market)

It means that 0QSB.L stock and the market have an inverse correlation

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View Section: Profitability