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$77.28B
18.50
42,698
6.33%
Price Chart
Risk-Adjusted Performance
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ANZ Group Holdings Limited (ANZGY) Price Performance
ANZ Group Holdings Limited (ANZGY) trades on United States in USD. The company is classified in the Financial Services sector under the Banks - Diversified industry. The stock currently trades at $25.62, up 0.83% from the previous close.
Over the past year, ANZGY has traded between a low of $14.99 and a high of $29.04. The stock has gained 46.1% over this period. It is currently 11.8% below its 52-week high.
ANZ Group Holdings Limited has a market capitalization of $77.28B, with a price-to-earnings ratio of 18.50 and a dividend yield of 6.33%.
About ANZ Group Holdings Limited
ANZ Group Holdings Limited engages in the provision of banking and financial products and services to retail and business customers in Australia and internationally. The company operates through three segments: Personal, Business & Agri, and Institutional. It offers banking and wealth management services to consumer and private banking customers; banking services to small and medium enterprises, and the agricultural business. The company also provides loan products, loan syndication, specialized loan structuring and execution, project and export finance, debt structuring and acquisition finance, and finance solutions; working capital and liquidity solutions, including documentary trade, supply chain financing, commodity financing, as well as cash management solutions, deposits, payments, and clearing. In addition, it offers risk management services in foreign exchange, interest rates, credit, commodities, and debt capital markets. The company provides its services through internet and app-based digital solutions, a network of branches, mortgage specialists, private bankers, and contact centers. ANZ Group Holdings Limited was founded in 1835 and is based in Melbourne, Australia.
Company Info
- Sector
- Financial Services
- Industry
- Banks - Diversified
- Exchange
- United States
- Currency
- USD
- Country
- United States
Financial Metrics
- Revenue (TTM)
- $21.75B
- EBITDA
- N/A
- Profit Margin
- 27.09%
- EPS (TTM)
- 1.40
- Book Value
- 16.68
Technical Indicators
- 52 Week High
- $29.11
- 52 Week Low
- $14.92
- 50 Day MA
- $26.20
- 200 Day MA
- $22.89
- Beta
- 0.54
Valuation
- Trailing P/E
- 18.50
- Forward P/E
- 14.29
- Price/Sales
- 3.55
- Price/Book
- 1.52
- Enterprise Value
- $90.69B