Tarya Israel Ltd

Tel Aviv Stock Exchange TRA.TA

Tarya Israel Ltd Free Cash Flow Yield on January 14, 2025: -36.20%

Tarya Israel Ltd Free Cash Flow Yield is -36.20% on January 14, 2025, a 1.84% change year over year. Free cash flow yield compares the return from free cash flow to the market cap; higher yield suggests attractive investment.
  • Tarya Israel Ltd 52-week high Free Cash Flow Yield is -34.10% on December 22, 2024, which is 5.80% above the current Free Cash Flow Yield.
  • Tarya Israel Ltd 52-week low Free Cash Flow Yield is -84.39% on June 20, 2024, which is -133.12% below the current Free Cash Flow Yield.
  • Tarya Israel Ltd average Free Cash Flow Yield for the last 52 weeks is -51.59%.
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: TRA.TA

Tarya Israel Ltd

CEO Ms. Varda Lusthaus
IPO Date Dec. 31, 2007
Location Israel
Headquarters Hamelacha 15
Employees 57
Sector Finance
Industries
Description

Tarya Israel Ltd operates an alternative investment (P2P) platform in Israel. It provides alternative investments and credit solutions to individuals and small businesses. The company was founded in 2014 and is based in Rosh HaAyin, Israel with development centers in Israel, Bulgaria, Ukraine, and Canada.

StockViz Staff

January 15, 2025

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