Property & Building Corp. Ltd.

Tel Aviv Stock Exchange PTBL.TA

Property & Building Corp. Ltd. Free Cash Flow Yield on January 14, 2025: 46.32%

Property & Building Corp. Ltd. Free Cash Flow Yield is 46.32% on January 14, 2025, a -25.34% change year over year. Free cash flow yield compares the return from free cash flow to the market cap; higher yield suggests attractive investment.
  • Property & Building Corp. Ltd. 52-week high Free Cash Flow Yield is 81.50% on June 23, 2024, which is 75.95% above the current Free Cash Flow Yield.
  • Property & Building Corp. Ltd. 52-week low Free Cash Flow Yield is 12.42% on December 20, 2024, which is -73.19% below the current Free Cash Flow Yield.
  • Property & Building Corp. Ltd. average Free Cash Flow Yield for the last 52 weeks is 56.47%.
Key data
Date Free Cash Flow Yield Market Value Added (MVA) Price to Book Ratio (P/B) Price to Earnings Ratio (P/E)
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Tel Aviv Stock Exchange: PTBL.TA

Property & Building Corp. Ltd.

CEO Ms. Nataky Mishan-Zakai
IPO Date Aug. 12, 2002
Location Israel
Headquarters ToHa Tower
Employees 69
Sector Finance
Industries
Description

Property & Building Corp. Ltd., together with its subsidiaries, operates as a real estate company in Israel and internationally. It operates through Revenue-Generating Properties in Israel, Revenue-Generating Properties in the United States, Residential Construction in Israel, IDBG, and Gav-Yam segments. The company plans, develops, constructs, markets, rents, maintains, and manages IT parks, business and industrial parks, office buildings, logistics and storage buildings, and parking lots; and holds land reserves to build revenue-generating properties. It is also involved in the initiation, development, construction, and marketing of residential neighborhoods. The company was founded in 1961 and is based in Tel Aviv, Israel. Property & Building Corp. Ltd. operates as a subsidiary of Discount Investment Corporation Ltd.

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StockViz Staff

January 15, 2025

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