ペルメックス・ペトロリアムの株は 業界同業者に比べて 機関による所有権が低く 変動が強い.
Permex Petroleum's stock shows lower institutional ownership and higher volatility compared to its industry peers.
Permex Produlem (OLICF) は,施設投資家が保有する株式の9.5%を保有しており,その産業の平均平均56.8%よりもはるかに低い.
Permex Petroleum (OILCF) has 9.5% of its shares held by institutional investors, much lower than the 56.8% average for its industry.
株式の変動は S&P 500よりも126%高く 純利益率,資本収益率,資産収益率はマイナスです
Its stock is 126% more volatile than the S&P 500, with negative net margins, return on equity, and return on assets.
高い収益にもかかわらず,ペルメックス取引は,所得が低いが,財務計の9割のうち7割を超えている同業者と比較して高い価格対価対外収益率で取引する.
Despite higher revenue, Permex trades at a higher price-to-earnings ratio compared to peers who have lower earnings but outperform in 7 out of 9 financial metrics.