Pozzi Milano SpA
Pozzi Milano SpA (POZ.MI) is currently classified as Advertising & Marketing within Advertising & Marketing (Consumer Cyclicals). Classification confidence: 0.92 (verified market data). Capital structure on the latest snapshot: total assets 18,817,140 Unknown error in universe processing, total equity 9,868,800, short-term debt 0, long-term debt 3,888,730. Net cash position is approximately 44,150 Unknown error in universe processing. Profitability profile: revenue 21,476,640, gross profit 4,731,960, operating income 2,095,250, net income 1,298,760. Return on equity ~13.2%. Return on assets ~6.9%. Operating-cash-flow to net-income ratio is 1.62. Risk profile from automated assessment: liquidity risk low, dilution risk low. Flags: No immediate filing-based liquidity or dilution flags were detected..
Business. Pozzi Milano SpA is classified under Consumer Cyclicals / Advertising & Marketing and appears profitable on the latest normalized snapshot.
Classification. Classification confidence is 0.92 based on verified market data; matched terms: Advertising & Marketing, Cyclical Consumer Services, Consumer Cyclicals.
- Return on equity is about 13.2%.
- Debt to equity is about 0.39x.
- No immediate filing-based liquidity or dilution flags were detected.