CXLCalixCXL info
$0.74info1.87%24h
Global rank19676
Market cap$128.29M
Change 7d-
YTD Performance-67.94%
SP500 benchmarkUnderperform
P/E0
P/S10.20
Revenue$12.58M
Earnings-$15.84M
Dividend yield-

Calix (CXL) Stock Overview

Calix Limited, an environmental technology company, provides industrial solutions to address global sustainability challenges in Australia, Europe, the United States, and South East Asia. Its solutions include ACTI-Mag for biogas and wastewater; AQUA-Cal+, a water conditioner for shrimp farming and lake remediation; BOOSTER-Mag, an agricultural solution for increased yield, fertilizer usage, insect/pest management, and fungal control; and low emissions intensity lime and cement (LEILAC) for cement and lime companies to mitigate carbon dioxide emissions. The company also provides chemical dosing wastewater treatment for controlled delivery of chemicals into the process stream to adjust and maintain the pH, reduce hydrogen sulphide odours, prevent corrosion of sewer assets, and remove undesirable elements comprising phosphorous or fats oils, and grease; active monitoring services by dosing sewer collection network for odor control; and advanced batteries. It serves agriculture, aquaculture, cement and lime, food and drink manufacturing, lake and pond remediation, lime, marine coatings, winery, water utilities, and mining and mineral processing industries. The company was incorporated in 2005 and is headquartered in Sydney, Australia.

CXL Stock Information

Symbol
CXL
Address
Building 1Sydney, NSW 2073Australia
Founded
-
Trading hours
10:00 AM - 4:00 PM AEST
Website
https://calix.global
Country
πŸ‡¦πŸ‡Ί Australia
Phone Number
61 2 8199 7400

Calix (CXL) Price Chart

-
Value:-

Calix Overview: Key Details and Summary

Stock data
2023
Change
Price
$0.7374232132709116
N/A
Market Cap
$128.29M
N/A
Shares Outstanding
173.97M
8.44%
Employees
129.00
N/A
Shareholder Equity
104.96M
134.30%
Valuation
2023
Change
P/S Ratio
10.20
N/A
P/B Ratio
1.22
N/A
Growth
2023
Change
Return on Equity
-0.1509
N/A
Earnings
2023
Change
Revenue
$12.58M
N/A
Earnings
-$15.84M
N/A
Gross Margin
0.3332
N/A
Operating Margin
-1.83
N/A
Net income margin
-1.26
N/A
Financial Strength
2023
Change
Total Assets
$86.26M
N/A
Total Debt
$891.07K
N/A
Cash on Hand
$50.38M
N/A
Debt to Equity
0.1453
-41.37%
Cash to Debt
$56.54
233.05%
Current Ratio
$4.26
103.75%
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