You don't have Javascript enabled. For full functionality this page requires javascript to be enabled.
Welcome to Morningstar, Iceland
Close
Keep me signed in.
Forgot your password?
Not already a member?
Click here to register.
Logging in...
Close
Company Site
Home
Quickrank
Screener
X-Ray
Equity
Contact Us
Stock Quickrank
OMX Nordic Exchange - Iceland
American Stock Exchange
Athens Stock Exchange
Australia Stock Exchange
Bolsa de Madrid
Bolsa Mexicana de Valores
Bombay Stock Exchange
Borsa Italiana
Bovespa
Buenos Aires Exchange
XFRA
EuroNext Lisbon
Hong Kong Stock Exchange
India Stock Exchange
Irish Stock Exchange
Istanbul Stock Exchange
Johannesburg Stock Exchange
London Stock Exchange
Luxembourg Stock Exchange
NASDAQ
NASDAQ OMX Stockholm
New Zealand Stock Exchange
NYSE
NYSE Arca
NYSE Euronext Amsterdam
NYSE Euronext Brussels
NYSE Euronext Paris
OMX Nordic Exchange - Copenhagen
OMX Nordic Exchange - Helsinki
OMX Nordic Exchange - Riga
OMX Nordic Exchange - Vilnius
Oslo Bors
OTC Bulletin Board
Over-the-Counter Pink Sheet
Shanghai Stock Exchange
Shenzhen Stock Exchange
Singapore Exchange
SIX Swiss Exchange
Taiwan Stock Exchange
Tallinn Stock Exchange
Thailand Stock Exchange
Tokyo Stock Exchange
Toronto Stock Exchange
TSX Venture Exchange
Warsaw Stock Exchange
Wiener Boerse
Xetra
All Sectors
----------------------
All Industries
----------------------
Primary Market
Snapshot
Short Term
Long Term
Performance
Valuation
Name
Stock Sector
Industry Name
Exchange
Market Cap (m)
Dividend Yield
%
Last
Close
Atlantic Airways DKK
-
-
OISE
97.269.455
6,48
95,00
DKK
Atlantic Petroleum P/F
-
-
OISE
504.230.178
-
202,00
DKK
Bakkavör Group hf.
-
-
OISE
2.157.888.219
-
1,00
ISK
BankNordik P/F
-
-
OISE
631.232.000
5,31
64,00
DKK
Eik Banki P/F DKK
-
-
OISE
162.580.000
-
20,00
DKK
Icelandair Group hf.
-
-
OISE
27.312.750.000
-
5,49
ISK
Marel hf
-
-
OISE
100.944.894.000
-
138,50
ISK
Nýherji hf.
-
-
OISE
-
-
5,40
ISK
Sláturfélag Suðurlands svf.
-
-
OISE
-
5,37
0,95
ISK
Total Results:
9
View:
20 per page
50 per page
100 per page
250 per page
500 per page
1-9 of 9
First
|
Previous
|
Next
|
Last
Fund prices are updated every weekday after the close of trading and before 11 p.m. wherever possible. Performance figures are presented in U.S. Dollars (USD). Fund returns are based upon Nav to Nav or Bid to Bid income reinvested basis. UK-domiciled funds report after-tax dividends. Non-UK-domiciled funds report gross dividends.
© Copyright 2012 Morningstar.
All rights reserved.
Make this site my homepage
© Copyright 2012 Morningstar.
All rights reserved. Please read our
Terms of Use
and
Privacy Policy
.