DomaCom Limited Share Price

Equities

DCL

AU000000DCL0

Investment Management & Fund Operators

Market Closed - Australian S.E. 05:10:21 05/02/2024 GMT 5-day change 1st Jan Change
0.011 AUD +22.22% Intraday chart for DomaCom Limited -.--% -45.00%

Financials

Sales 2022 3.55M 2.32M 186M Sales 2023 2.52M 1.65M 132M Capitalization 15.68M 10.24M 820M
Net income 2022 -3M -1.96M -157M Net income 2023 -3M -1.96M -157M EV / Sales 2022 6.74 x
Net cash position 2022 298K 195K 15.6M Net Debt 2023 2.75M 1.79M 144M EV / Sales 2023 7.31 x
P/E ratio 2022
-6.49 x
P/E ratio 2023
-3.6 x
Employees -
Yield 2022 *
-
Yield 2023
-
Free-Float 50.38%
More Fundamentals * Assessed data
Dynamic Chart
1 day+22.22%
3 months-15.38%
6 months-21.43%
Current year-45.00%
More quotes
Current year
0.01
Extreme 0.008
0.02
1 year
0.01
Extreme 0.008
0.05
3 years
0.01
Extreme 0.008
0.07
5 years
0.01
Extreme 0.008
0.14
10 years
0.01
Extreme 0.008
0.70
More quotes
Managers TitleAgeSince
Chief Executive Officer - 11/04/23
Director of Finance/CFO - 31/12/14
Chief Operating Officer - -
Members of the board TitleAgeSince
Director/Board Member 54 03/04/22
Director/Board Member - -
Chairman 77 03/04/22
More insiders
DomaCom Australia Limited is an Australia-based company that owns and operates a fractional investment platform. The Company provides real solutions for self-managed super funds (SMSF's), retirees and new home buyers. Using the DomaCom platform, investors make fractional investments in a range of asset classes, including property-related investments, mortgage-backed securities, renewables, affordable housing, disability accommodation and debt securities via a trust structure tailored to them. The Company's platform is offered through a Managed Investment Scheme, the DomaCom Fund. The DomaCom Fund is a managed investment fund. It also runs a crowdfunding campaign process in which investors can commit as much as they want towards the purchase of assets together with other like-minded investors. When a campaign is complete, DomaCom purchases the asset, places it in a sub-fund, and issues the investors with units in proportion to the amount it invested.
More about the company