Martin Currie Emerging Markets Fund Class IS – NASDAQ:MCEMX

Martin Currie Emerging Markets Fund Class IS stock price today

$11.93
-0.79
-6.21%
Financial Health
0
1
2
3
4
5
6
7
8
9

Martin Currie Emerging Markets Fund Class IS stock price monthly change

-5.50%
month

Martin Currie Emerging Markets Fund Class IS stock price quarterly change

-5.50%
quarter

Martin Currie Emerging Markets Fund Class IS stock price yearly change

+4.35%
year

Martin Currie Emerging Markets Fund Class IS key metrics

Market Cap
421.75M
Enterprise value
433.89M
P/E
12.85
EV/Sales
50.55
EV/EBITDA
43.85
Price/Sales
49.40
Price/Book
0.96
PEG ratio
-0.01
EPS
-5.34
Revenue
8.69M
EBITDA
-89.84M
Income
-84.76M
Revenue Q/Q
N/A
Revenue Y/Y
N/A
Profit margin
186.5%
Oper. margin
71.38%
Gross margin
100%
EBIT margin
71.38%
EBITDA margin
-1033.36%
Sign up &
create your own Smart Feed

Personalize your watchlist with companies you want to keep track of and get notified in the smart feed every time fresh news arrives.

Sign up for free

Martin Currie Emerging Markets Fund Class IS stock price history

Martin Currie Emerging Markets Fund Class IS stock forecast

Martin Currie Emerging Markets Fund Class IS financial statements

Martin Currie Emerging Markets Fund Class IS (NASDAQ:MCEMX): Profit margin
Nov 2021 1.38M -22.72M -1644.11%
Feb 2022 1.38M -22.72M -1644.11%
May 2022 2.96M -19.66M -663.17%
Aug 2022 2.96M -19.66M -663.17%
Martin Currie Emerging Markets Fund Class IS (NASDAQ:MCEMX): Debt to assets
Nov 2021 297130327 36.79M 12.38%
Feb 2022 297130327 36.79M 12.38%
May 2022 243992237 27.28M 11.18%
Aug 2022 243992237 27.28M 11.18%
Martin Currie Emerging Markets Fund Class IS (NASDAQ:MCEMX): Cash Flow
Nov 2021 0 0 0
Feb 2022 0 0 0
May 2022 0 0 0
Aug 2022 0 0 0

Martin Currie Emerging Markets Fund Class IS other data

  • What's the price of Martin Currie Emerging Markets Fund Class IS stock today?

    One share of Martin Currie Emerging Markets Fund Class IS stock can currently be purchased for approximately $11.93.

  • When is Martin Currie Emerging Markets Fund Class IS's next earnings date?

    Unfortunately, Martin Currie Emerging Markets Fund Class IS's (MCEMX) next earnings date is currently unknown.

  • Does Martin Currie Emerging Markets Fund Class IS pay dividends?

    Yes, Martin Currie Emerging Markets Fund Class IS pays dividends and its trailing 12-month yield is 1.32% with 0% payout ratio. The last Martin Currie Emerging Markets Fund Class IS stock dividend of undefined was paid on 26 Sep 2025.

  • How much money does Martin Currie Emerging Markets Fund Class IS make?

    Martin Currie Emerging Markets Fund Class IS has a market capitalization of 421.75M and it's past years’ income statements indicate that its last revenue has decreased compared to the previous period by 1.29% to 8.58M US dollars.

  • What is Martin Currie Emerging Markets Fund Class IS's stock symbol?

    Martin Currie Emerging Markets Fund Class IS is traded on the NASDAQ under the ticker symbol "MCEMX".

  • What is Martin Currie Emerging Markets Fund Class IS's primary industry?

    Company operates in the Financial Services sector and Asset Management industry.

  • How do i buy shares of Martin Currie Emerging Markets Fund Class IS?

    Shares of Martin Currie Emerging Markets Fund Class IS can be purchased through any online brokerage account. Popular online brokerages with access to the U.S. stock market include WeBull, Vanguard Brokerage Services, TD Ameritrade, E*TRADE, Robinhood, Fidelity, and Charles Schwab.

  • When Martin Currie Emerging Markets Fund Class IS went public?

    Martin Currie Emerging Markets Fund Class IS is publicly traded company for more then 10 years since IPO on 29 May 2015.

  • How can i contact Martin Currie Emerging Markets Fund Class IS?

    Martin Currie Emerging Markets Fund Class IS can be reached via phone at 877-721-1926.

Martin Currie Emerging Markets Fund Class IS company profile:

Martin Currie Emerging Markets Fund Class IS

Exchange:

NASDAQ

Full time employees:

0

Industry:

Asset Management

Sector:

Financial Services

The investment seeks long-term capital appreciation. Under normal market conditions, the fund pursues its objective by investing at least 80% of its net assets plus borrowings for investment purposes, if any, in securities of issuers with substantial economic ties to one or more emerging market countries and other investments with similar economic characteristics. It is non-diversified.

Legg Mason Global Asset Management Trust
,

CIK: 0001474103
:
: