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QIL - Qannas Investments Share Price

$0.625 0.0  0.0%

Last Trade - 06/06/19

Micro Cap
Market Cap £n/a
Enterprise Value £n/a
Revenue £1.34m
Position in Universe th / 1827
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Relative Strength (%)
Volume Change (%)
10d / 3m
Price vs... (%)
52w High
50d MA
200d MA
Margin of Safety
Qualifying GuruScreens
Financial Summary
FINANCIAL BRIEF: : For the six months ended 30 June 2019, Qannas Investments Ltd revenues increased from $204K to $703K. Net loss decreased 98% to $24K. Revenues reflect Realised loss on disposal of investments increase from -$734K to $0K, Investment income increase of 42% to $651K, Realised gain on disposal of investments increase from $0K to $25K. Lower net loss reflects Net movement on changes in fair value o decrease from $333K (expense) to $0K.
Health Trend(F-Score)
0 1 2 3 4 5 6 7 8 9
Bankruptcy Score(Z-Score)
Earnings Manipulation Risk(M-Score)
Other Ratios
Recent History
Latest interim period vs. prior period Industry Market
3yr Compound Annual Growth Rate Industry Market
Graphical History


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Net Income

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Normalised EPS

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PE Ratio Range

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Dividend Yield Range

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Analyst Forecasts
Price Target:
( below Price)
31st Dec 2020
31st Dec 2021
Est. Long Term Growth Rate: Net Profit
Net Profit
Consensus Estimate
1m Change
3m Change
Analyst Consensus
Strong Sell Sell Hold Buy Strong Buy
EPS 2019 /  2020
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Profile Summary

Qannas Investments Limited is a Cayman Island-based investment company. The investment objective of the Company is to generate value for shareholders by creating a portfolio of opportunistic investments in real estate, debt, and equities (both public and private) in the Middle East and North Africa (MENA) region, Europe and North America. The Company is not restricted in terms of the type of asset in, which it may invest and the Company's portfolio may include, without limitation, equity or debt securities in public or private companies and limited partner interests in private equity funds. The Company may use equity, fixed income or currency derivatives, such as forwards or futures, as it may deem appropriate for hedging or investing purposes. The Company's portfolio sectors include real estate, oil and gas, financial services, healthcare, utilities, construction, hospitality and others. ADCM Ltd. (ADCM) is the investment manager of the Company.

Last Annual December 31st, 2018
Last Interim June 30th, 2019
Incorporated March 31, 2014
Public Since March 6, 2012
No. of Shareholders: n/a
No. of Employees: n/a
Sector Financials
Industry Collective Investments
Exchange London Stock Exchange
Shares in Issue 59,510,575
Free Float (0.0%)
Eligible for
QIL Share Price Performance
Share Price
Bid - Ask
Low - High
Day's Change
Avg Volume
Open - Close
Range (12m)
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