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Natixis S.A. (KN.SW)

Swiss - Swiss Delayed Price. Currency in CHF
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0.0000-4.4810 (-100.00%)
At close: 5:35PM CEST
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Chart Events
Neutralpattern detected
Previous Close4.4810
Open4.4810
Bid4.3000 x 0
Ask4.3540 x 0
Day's Range4.4810 - 4.4810
52 Week Range4.4810 - 4.4810
Volume50
Avg. Volume0
Market Cap0
Beta (5Y Monthly)1.13
PE Ratio (TTM)N/A
EPS (TTM)N/A
Earnings DateN/A
Forward Dividend & YieldN/A (N/A)
Ex-Dividend DateN/A
1y Target EstN/A
Fair Value is the appropriate price for the shares of a company, based on its earnings and growth rate also interpreted as when P/E Ratio = Growth Rate. Estimated return represents the projected annual return you might expect after purchasing shares in the company and holding them over the default time horizon of 5 years, based on the EPS growth rate that we have projected.
Fair Value
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      Moody's Investors Service ("Moody's") has completed a periodic review of the ratings of Natixis and other ratings that are associated with the same analytical unit. The review was conducted through a portfolio review in which Moody's reassessed the appropriateness of the ratings in the context of the relevant principal methodology(ies), recent developments, and a comparison of the financial and operating profile to similarly rated peers. Since 1 January 2019, Moody's practice has been to issue a press release following each periodic review to announce its completion.

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      Caisses d'Epargne Participations -- Moody's announces completion of a periodic review of ratings of BPCE

      Moody's Investors Service ("Moody's") has completed a periodic review of the ratings of BPCE and other ratings that are associated with the same analytical unit. The review was conducted through a portfolio review in which Moody's reassessed the appropriateness of the ratings in the context of the relevant principal methodology(ies), recent developments, and a comparison of the financial and operating profile to similarly rated peers. Since 1 January 2019, Moody's practice has been to issue a press release following each periodic review to announce its completion.

    • GlobeNewswire

      Natixis monthly equity distribution at September 30,2020

      Name of issuer: NATIXIS S.A. joint stock company with a share capital of 5,049,522,403.20 euros Registered under nr B 542 044 524 RCS Paris Registered Office: 30 avenue Pierre Mendès-France - 75013 Paris - FranceInformation relating to the total number total of voting rights and of shares pursuant to Article L.233-8 II of the French Commercial Code and Article 223-16 of the Autorité des Marchés Financiers (AMF) General Regulations.   Date  Number of shares composing current share capitalTotal number of voting rights   September 30, 2020          3,155,951,502  Gross total: 3,155,951,502   Net total*: 3,149,952,017    * Net total: total number of voting rights attached to the total number of shares – shares without voting rights (treasury stock, etc.)The €5,049,522,403.20 share capital has been registered by a decision of the Chief Executive Officer on July 28, 2020. Note: This translation is for information purposes only. In case of inconsistencies between the French version and the English version of this document, the French version shall prevailAttachment * Natixis_monthly_info_equity_distribution_20200930