Net Profit Margin ratio Analysis of Signal Hill Acquisition Corp - Deep Dive
Latest FY NPM
Period Ending - Dec-22
Poor NPM
0
Period Ending - Dec-21
Poor NPM
0
Growth
0 %
Trailing Twelve Months NPM
Period Ending - Dec-22
Excellent NPM
270.72
Most recent Quarter NPM
Period Ending - Mar-23
Poor NPM
0
NPM Analysis of Signal Hill Acquisition Corp
NPM Ratio of Signal Hill Acquisition Corp with value of 270.72 indicates that a company is able to control its costs effectively and offer goods or services at a much higher price than its costs in trailing twelve months. |
NPM Ratio of SGHL has fallen by 0 % Compared to previous Financial Year. |
Other NPM Related Info of SGHL that may interest you.
Signal Hill Acquisition Corp Overview
Code | Price | Previous Price | Price Change | Sector |
---|---|---|---|---|
SGHL | 10.425 | 10.42 | 0.0480 % | Shell Companies |
Defination of Net Profit Margin
Net Margin is the company's Net Profit divided by the Total Revenue. This profitability metric indicates how much a net profit is generated for each rupee of revenue earned. In simple terms, it tells how much the company is generating profit for each rupee of revenue earned in percentage. It measures the company's profitability and management's capability to manage its expenses to generate profit. more ..NPM Related Ratios
ReturnOnEquity | EBITDAMargin |
Tsr Profitability Index
No Significant Profitability |
FY - Historical Net Profit Margin of Signal Hill Acquisition Corp
Period | Dec-22 | Dec-21 |
---|---|---|
NPM | 0 | 0 |
Change |
FY Chart of Net Profit Margin of Signal Hill Acquisition Corp
Note : All Data Generated at the End of Trading Hours (EOD Data)