Financiere Moncey SA
PAR:FMONC
Gross Margin
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Gross Margin shows how much money a company keeps from each dollar of sales after paying for the products it sells. It tells how profitable the company`s core business is before other expenses.
Peer Comparison
| Country | Company | Market Cap |
Gross Margin |
||
|---|---|---|---|---|---|
| FR |
|
Financiere Moncey SA
PAR:FMONC
|
2.2B EUR |
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|
|
| US |
|
Berkshire Hathaway Inc
NYSE:BRK.A
|
1.1T USD |
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|
|
| SE |
|
Investor AB
STO:INVE B
|
1.1T SEK |
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|
|
| ZA |
R
|
Remgro Ltd
JSE:REM
|
104.6B ZAR |
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|
|
| SE |
|
Industrivarden AB
STO:INDU A
|
210.2B SEK |
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|
|
| MC |
|
HAL Trust
AEX:HAL
|
14.9B EUR |
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|
|
| NL |
|
Exor NV
AEX:EXO
|
14.6B EUR |
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|
|
| SE |
|
L E Lundbergforetagen AB (publ)
STO:LUND B
|
136.5B SEK |
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|
|
| IN |
|
Bajaj Holdings and Investment Ltd
NSE:BAJAJHLDNG
|
1.2T INR |
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|
|
| BE |
|
Groep Brussel Lambert NV
XBRU:GBLB
|
10.3B EUR |
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|
| BE |
|
Sofina SA
XBRU:SOF
|
9.1B EUR |
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Market Distribution
Other Profitability Ratios
Financiere Moncey SA
Glance View
Financiere Moncey SA stands as a testament to strategic orchestration in the world of investment holding companies. Originally part of the larger Bolloré Group, it embodies the astute financial acumen synonymous with its parent company while maintaining an independently steadfast course in its operations. The company primarily serves as a holding entity, leveraging its capital and resources to invest in various sectors that generate substantial long-term returns. Through a diversified portfolio, Financiere Moncey skillfully engages in industrial investments, carefully curating assets that fit strategic growth paradigms and align with emerging market trends. The heartbeat of Financiere Moncey's revenue generation strategy lies in its ability to maneuver and nurture a dynamic mix of investments in sectors like telecommunications, transportation, and energy. The company does not simply rest on passive asset accumulation; rather, it actively manages its investments to optimize performance and returns. By focusing on industries with robust demand trajectories, it adeptly taps into market cycles and capitalizes on growth opportunities. This approach not only ensures steady capitalization on its holdings but also aligns with a broader ethos of sustainable value creation, which has become its hallmark in the competitive landscape of global investment entities. Through its carefully orchestrated investment strategies, Financiere Moncey remains a formidable player, perpetually on the lookout for ventures that promise value through innovation and strategic market positioning.