1 week -
Extreme
1.86
1 month -
Extreme
1.95
Current year -
Extreme
2.25
1 year -
Extreme
2.25
3 years -
Extreme
2.33
5 years -
Extreme
2.33
10 years -
Extreme
2.81
Manager TitleAgeSince
Chief Executive Officer - -
Director TitleAgeSince
Director/Board Member - 2019-12-31
Director/Board Member - -
Director/Board Member - 2019-12-31
Change 5-day change 1-year change 3-year change Capi.($)
- 0.00% - - 211M
+0.29%-3.65%-32.36%+51.60% 54.51B
+0.28%-3.87%-3.49%+10.83% 43.13B
+0.65%-0.42%-23.19%+18.87% 34.25B
-2.25%-3.99%-11.45%+29.74% 32.77B
-0.38%-0.79%-19.88%+20.97% 31.5B
+1.85%+3.06%-22.08%+104.92% 29.3B
-0.71%-8.48%+127.28%+191.93% 23.33B
-3.26%-7.18%+6.18%+52.49% 20.9B
+1.18%-1.85%-18.95% - 20.31B
Average -0.26%-3.25%+0.23%+60.17% 29.02B
Weighted average by Cap. -0.15%-2.85%-5.67%+52.69%

Financials

2026 *2027 *
Net sales 394M 132M 117M 109M 99.41M 188M 12.67B 189M 1.32B 512M 6.46B 494M 483M 20.79B 424M 142M 126M 117M 107M 202M 13.64B 204M 1.42B 551M 6.95B 532M 520M 22.37B
Net income 49.2M 16.43M 14.6M 13.62M 12.41M 23.46M 1.58B 23.63M 165M 63.97M 807M 61.68M 60.34M 2.6B 54.8M 18.3M 16.26M 15.17M 13.83M 26.13M 1.76B 26.32M 184M 71.25M 899M 68.7M 67.21M 2.89B
Net Debt - -
Logo Carthage Cement SA
Carthage Cement specializes in producing and selling construction materials. Net sales break down by activity as follows: - sale of cement (89.7%); - sale of aggregates (4.6%); - sale of ready-to-use concrete (3.3%); - sale of clinker (1.5%); - other (0.9%). At the end of 2022, the company had one production site located in Tunisia.
Employees
-
Trader
-
Investor
Global
-
Quality
ESG MSCI
CCC
Sell
Consensus
Buy
Mean consensus
BUY
Number of Analysts
1
Last Close Price
-TND
Average target price
2.910TND
Spread / Average Target
+∞%

Annual profits - Rate of surprise