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Foren & Soziale Netzwerke zur CLAROS MORTGAGE Aktie

 >CLAROS MORTGAGE Aktienkurs 
2.03 EUR    (TradegateBSX)
Ask: 2.04 EUR / 2450 Stück
Bid: 2.02 EUR / 2480 Stück
Tagesumsatz: 0 Stück
Realtime Kurs von 7:30 bis 22 Uhr!
CMTG Aktie über LYNX handeln
>CLAROS MORTGAGE Performance
1 Woche: +3,0%
1 Monat: +2,5%
3 Monate: -23,4%
6 Monate: -29,0%
1 Jahr: -30,5%
laufendes Jahr: -22,2%
>CLAROS MORTGAGE Aktie
Name:  CLAROS MORTGAGE TRUST
Land:  USA
Sektor:  Immobilien
ISIN/ Wkn:  US18270D1063 / A3C6S1
Symbol/ Ticker:  5WO (Frankfurt) / CMTG (NYSE)
Kürzel:  FRA:5WO, ETR:5WO, 5WO:GR, NYSE:CMTG
Index:  -
Webseite:  https://www.clarosmortgag..
Profil:  Claros Mortgage Trust Inc. is a real estate investment trust (REIT) that specializes in originating and acquiring commercial real estate loans. Its primary function is to act as a bridge lender, providing tailored financial solutions for property own..
>Volltext..
Marktkapitalisierung:  281.82 Mio. EUR
Unternehmenswert:  2841.12 Mio. EUR
Umsatz:  174.72 Mio. EUR
EBITDA:  57.97 Mio. EUR
Nettogewinn:  -423.69 Mio. EUR
Gewinn je Aktie:  -3.02 EUR
Schulden:  2724.58 Mio. EUR
Liquide Mittel:  165.28 Mio. EUR
Operativer Cashflow:  -26.39 Mio. EUR
Bargeldquote:  0.09
Umsatzwachstum:  18.18%
Gewinnwachstum:  -121.03%
Dividende je Aktie:  -
Dividendenrendite:  -
Dividendenschätzung:  -
Div. Historie:  30.09.24 - 0.0858€
28.06.24 - 0.2145€
>weitere anzeigen...
Insiderhandel:  -
Suchwörter:  CLAROS MORTGAGE, CMTG
Letzte Datenerhebung:  04.04.26
>CMTG Kennzahlen
Aktien/ Unternehmen:
Aktien: 140.22 Mio. St.
Frei handelbar: 80.99%
Rückkaufquote: -
Mitarbeiter: -
Umsatz/Mitarb.: -
Analysten:
Analystenrating: Sell
Kursziel: 6.84%
Bewertung:
KGV: -
KGV lG: -
KUV: 1.61
KBV: 0.21
PEG-Ratio: -0.01
EV/EBITDA: 49.01
Rentabilität:
Bruttomarge: 44.19%
Gewinnmarge: -242.49%
Operative Marge: -224.79%
Managementeffizenz:
Gesamtkaprendite: -8.37%
Eigenkaprendite: -27.63%
>CMTG Peer Group
Immobilien
 
13.03.26 - 12:45
U.S. "Big 6" Banks – Technical Structure Review (TradingView)
 
Taking a step back and looking at the major U.S. banks over the last 12 months — NYSE:JPM NYSE:BAC $C NYSE:WFC NYSE:GS NYSE:MS — the technical structure across the sector has been remarkably consistent. Across all six charts the same themes show up repeatedly: • clean base formations followed by breakout structures • order blocks / fair value gaps (FVGs) acting as demand during pullbacks • long-term trendline support guiding the primary trend higher • clearly defined support and resistance levels respected multiple times For most of the past year the sector has traded within a very orderly trend continuation structure — higher highs, higher lows, and pullbacks into demand zones before continuation. However, over the last several weeks the charts are beginning to show a synchronised loss of momentum across the sector. Common developments across the banks include: • breaks or tests of intermediate trendlines • price losing short-term moving average structure • pullbacks into previous demand zon
17.01.26 - 13:30
CM (USA) - Canadian Imperial Looking Interesting. (TradingView)
 
Canadian Imperial Bank of Commerce has been a quiet and steady achiever lately, putting in a solid performance with a gain of around 50% over the last year. While the tech giants grab the headlines, this Canadian banking heavyweight has been trending steadily higher. It's one of the "Big Five" banks in Canada, meaning it's generally seen as a stable, dividend-paying bedrock for many portfolios. When a stock like this trends this consistently, I like to pay attention. Fundamentally, the move seems driven by a mix of resilience in the Canadian economy and the market pricing in a more favorable interest rate environment for 2026. Banks like CM are highly sensitive to rates, particularly regarding their mortgage books, and the outlook for easing rates has likely helped lift the pressure on valuations. The recent pullback looks like standard profit-taking after a very strong run into the low 90s. Technically, the chart is behaving exactly how a trend follower likes to see. The price has pulled back and has mo
24.06.25 - 20:36
This is a gift for any new trader.. (TradingView)
 
A while ago I was trying to strengthen my Top down game. So I setup a b/tp/sl for down the road. Completely forgot about it. Just checked it today and it hit. It took time. I did it around march setting a long position. So for anyone out there that thinks they are terrible at trading and are losing constantly. Well this is a hard business. My family say they support me. Under their breath "Go get a job!" This is my job. My family always was a "If only we had invested in ( TPEX:IX0043 or #property) when it was cheaper. I said F' that. Im going to be a "I had invested in it." But still profit. Seriously if you understand top down MMA Ground and Pound. You can figure it out and WIN!!!!! Tacos rock.
07.06.25 - 14:06
Wave 3 up for Stock C (Citi) (TradingView)
 
Up wave 3 of C spotted.... Lets see if we can break previous high of $83 this round.....
30.03.25 - 07:09
C BACK TO 75 (TradingView)
 
NYSE:C has full-time frame continuity going to the downside, but we are preparing to go into another quarter, month, and week starting Monday. We just had a pullback and on the 4h chart, price action is sitting in the golden fibs zone (61.8). The risk/reward ratio is 6:1. Could swing with a April monthly contract.
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