Rockwood Strategic Plc – LSE:RKW.L

Rockwood Strategic stock price today

GBP 1,362
+1098.62
+417.12%
Financial Health
0
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9

Rockwood Strategic stock price monthly change

-1.36%
month

Rockwood Strategic stock price quarterly change

-1.36%
quarter

Rockwood Strategic stock price yearly change

+28.48%
year

Rockwood Strategic key metrics

Market Cap
69.69M
Enterprise value
65.24M
P/E
2.67
EV/Sales
11.52
EV/EBITDA
-1591.28
Price/Sales
12.36
Price/Book
1.27
PEG ratio
-3.44
EPS
0.38
Revenue
11.10M
EBITDA
N/A
Income
9.73M
Revenue Q/Q
N/A
Revenue Y/Y
N/A
Profit margin
542.69%
Oper. margin
24.85%
Gross margin
96.63%
EBIT margin
24.85%
EBITDA margin
N/A
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Rockwood Strategic stock price history

Rockwood Strategic stock forecast

Rockwood Strategic financial statements

Rockwood Strategic Plc (LSE:RKW.L): Profit margin
Dec 2022 6.84M 6.35M 92.82%
Mar 2023 6.84M 6.35M 92.82%
Jun 2023 -1.29M -1.48M 115.07%
Sep 2023 -1.29M -1.48M 115.07%
0.22%
Yield TTM
Rockwood Strategic Plc (LSE:RKW.L): Payout ratio
Payout ratio 0%
Rockwood Strategic Plc (LSE:RKW.L): Dividend Yield
2016
2017
2019 263.88%
2020 235.31%
2022 1.17%
Rockwood Strategic Plc (LSE:RKW.L): Debt to assets
Sep 2022 39413000 2.68M 6.82%
Dec 2022 50959000 1.16M 2.29%
Jun 2023 50267000 498K 0.99%
Sep 2023 50267000 498K 0.99%
Rockwood Strategic Plc (LSE:RKW.L): Cash Flow
Dec 2022 -527K 3.85M 0
Mar 2023 -527K 3.85M 0
Jun 2023 -296.5K -5.05M 1.47M
Sep 2023 -296.5K -5.05M 1.47M

Rockwood Strategic alternative data

Rockwood Strategic Plc (LSE:RKW.L): Employee count
Dec 2023 4
Jan 2024 4
Feb 2024 4
Mar 2024 4
Apr 2024 4
May 2024 4
Jun 2024 4
Jul 2024 4

Rockwood Strategic other data

  • What's the price of Rockwood Strategic stock today?

    One share of Rockwood Strategic stock can currently be purchased for approximately $1,362.

  • When is Rockwood Strategic's next earnings date?

    Unfortunately, Rockwood Strategic's (RKW.L) next earnings date is currently unknown.

  • Does Rockwood Strategic pay dividends?

    Yes, Rockwood Strategic pays dividends and its trailing 12-month yield is 0.23% with 0% payout ratio. The last Rockwood Strategic stock dividend of undefined was paid on 6 Sep 2025.

  • How much money does Rockwood Strategic make?

    Rockwood Strategic has a market capitalization of 69.69M and it's past years’ income statements indicate that its last revenue has decreased compared to the previous period by 81.48% to 3.83M US dollars.

  • What is Rockwood Strategic's stock symbol?

    Rockwood Strategic Plc is traded on the LSE under the ticker symbol "RKW.L".

  • What is Rockwood Strategic's primary industry?

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

  • How do i buy shares of Rockwood Strategic?

    Shares of Rockwood Strategic 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.

  • How many employees does Rockwood Strategic have?

    As Jul 2024, Rockwood Strategic employs 4 workers.

  • When Rockwood Strategic went public?

    Rockwood Strategic Plc is publicly traded company for more then 2 years since IPO on 10 Nov 2022.

  • What is Rockwood Strategic's official website?

    The official website for Rockwood Strategic is ghsplc.com.

  • How can i contact Rockwood Strategic?

    Rockwood Strategic can be reached via phone at +44 20 3837 6270.

Rockwood Strategic company profile:

Rockwood Strategic Plc

ghsplc.com
Exchange:

LSE

Full time employees:

4

Industry:

Asset Management

Sector:

Financial Services

Gresham House Strategic plc specializes in PIPE, pre-IPO, growth and acquisition, recovery capital investments. The fund invests in financial services, media, information and communication technology, digital information and technology, healthcare, and life sciences. It prefers to invest in companies based in United Kingdom and Europe and can also co-invest outside Europe with local venture capital firms. The fund also seeks to make follow on investments. It invests in companies with market capitalizations of less than ÂŁ250 million ($283.87 million) and seeks to acquire stakes between 5% and 25% for cash or share consideration. It seeks to invest between three to five years. The fund invests in smaller public companies as well as private companies. It invests in public companies that are listed on FTSE All-share and AIM All-Share Index; stocks trading greater than 50% below 3 year price high; EV or EBITDA less than 7 times, gearing more than 75%, ROCE greater than 10%, FCF Yield greater than 10%. The fund invests in private companies in P2P opportunities, equity and equity-related instruments, preferred equity, preferred quasi equity positions including convertible and non-convertible debt instruments, and mezzanine preferred instruments. It attracts portfolio in scenarios - excluding cash, portfolio trades on a weighted average EV or EBITDA greater than 5 times; generating in excess of 10% growth in 2017 based on broker forecasts. The fund targets 15% net IRR over the long-term.

80 Cheapside
London, EC2V 6EE

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ISIN: GB00BRRD5L66
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