Exor NV
VSE:EXO

Watchlist Manager
Exor NV Logo
Exor NV
VSE:EXO
Watchlist
Price: 87.4 EUR -1.69% Market Closed
Market Cap: 18.8B EUR
Have any thoughts about
Exor NV?
Write Note

Operating Margin
Exor NV

11.2%
Current
11%
Average
24%
Industry

Operating Margin represents how efficiently a company is able to generate profit through its core operations.

Higher ratios are generally better, illustrating the company is efficient in its operations and is good at turning sales into profits.

Operating Margin
11.2%
=
Operating Profit
2.6B
/
Revenue
23.4B

Operating Margin Across Competitors

Country NL
Market Cap 30.7B EUR
Operating Margin
11%
Country US
Market Cap 984.2B USD
Operating Margin
15%
Country ZA
Market Cap 87.5B Zac
Operating Margin
5%
Country SE
Market Cap 890.2B SEK
Operating Margin
29%
Country IN
Market Cap 1.2T INR
Operating Margin
88%
Country SE
Market Cap 149.9B SEK
Operating Margin
100%
Country SE
Market Cap 123.7B SEK
Operating Margin
25%
Country MC
Market Cap 10.2B EUR
Operating Margin
11%
Country BE
Market Cap 8.3B EUR
Operating Margin
11%
Country SA
Market Cap 29.6B SAR
Operating Margin
33%
Country BE
Market Cap 7.1B EUR
Operating Margin
88%
No Stocks Found

Exor NV
Glance View

Market Cap
18.8B EUR
Industry
Financial Services

Exor NV, a powerhouse in the world of international investment, traces its roots back to the illustrious Agnelli family, renowned for establishing Fiat in 1899. Today, Exor stands as a modern-day conglomerate, headquartered in Amsterdam, but operating with a distinctly global reach. The company has diversified well beyond its automotive origins, reflecting a shrewd investment approach characterized by deep value and long-term growth. The firm's portfolio is an eclectic mix of industry giants and significant holdings, encompassing automotive stalwarts like Stellantis, luxury brands such as Ferrari, and investments in media through companies like The Economist Group. This wide-ranging portfolio illustrates Exor’s strategic knack for spotting opportunities that align with its disciplined investment philosophy, often allowing it to hold considerable sway over the companies it invests in. Exor’s business model revolves around actively managing and strategically allocating capital to optimize value across its varied interests. The company essentially operates as an investment fund with a long-term horizon, generating revenue through dividends, capital gains, and whatever synergies might be derived from its cross-sector holdings. By leveraging its substantial equity stakes, Exor can influence management and operations to enhance the performance of its investments. This hands-on approach, coupled with a keen eye for potential and patience for investments to mature, underscores how Exor expertly navigates diverse industries to yield robust financial returns. The company’s success lies in its adept balance of innovation and tradition, always seeking sustainable growth while remaining anchored to its foundational philosophies.

EXO Intrinsic Value
113.02 EUR
Undervaluation 23%
Intrinsic Value
Price

See Also

Discover More
What is Operating Margin?

Operating Margin represents how efficiently a company is able to generate profit through its core operations.

Higher ratios are generally better, illustrating the company is efficient in its operations and is good at turning sales into profits.

Operating Margin
11.2%
=
Operating Profit
2.6B
/
Revenue
23.4B
What is the Operating Margin of Exor NV?

Based on Exor NV's most recent financial statements, the company has Operating Margin of 11.2%.