आपके बैज 52W रेंज $43–$79 91% of range विश्लेषक रेटिंग BUY 10 analysts मूल्य लक्ष्य $87 +15% upside P/E 175.2 ROE 48.5% शुद्ध लाभ मार्जिन 13.4%

VEON स्टॉक स्नैपशॉट मूल्य, बाजार पूंजीकरण, P/E, EPS, ROE, ऋण/इक्विटी, 52-सप्ताह की सीमा

03
मूल्य $75.64
P/E 175.2
EPS $0.30
राजस्व $4.40B
ROE 48.5%
52W रेंज $43–$79

VEON स्टॉक मूल्य चार्ट तकनीकी संकेतकों के साथ दैनिक OHLCV — पैन, ज़ूम और अपना दृश्य कस्टमाइज़ करें

04
सीमा
बार

बार ग्रैन्युलैरिटी चयनित अवधि के अनुसार अनुकूलित होती है — बार के लिए ओपन/हाई/लो/क्लोज देखने के लिए चार्ट पर होवर करें।

स्टॉक विभाजन 3
एक्स-डेट स्प्लिट प्रकार
8 मार्च 2023 1-for-25 रिवर्स
22 अगस्त 2007 5-for-1 फॉरवर्ड
23 नवमबर 2004 3-for-1 फॉरवर्ड

VEON Ltd. - American Depositary Shares के बारे में विकिपीडिया से कंपनी का अवलोकन

05 · wikidata

VEON Ltd. (formerly known as VimpelCom Ltd.), also known as VEON Group, is a multinational telecommunications and digital services company. Headquartered in Dubai, United Arab Emirates, the company is publicly traded on the U.S.-based Nasdaq stock exchange.

VEON operates in five markets in Europe and Asia: Bangladesh, Kazakhstan, Pakistan, Ukraine, and Uzbekistan. Its principal telecommunications brands include Banglalink in Bangladesh, Jazz in Pakistan, Kyivstar in Ukraine, and Beeline in Kazakhstan and Uzbekistan.

As of the second quarter of 2026, VEON reported 151.5 million mobile subscribers. Its digital services recorded 227.7 million users active during the quarter in aggregate; VEON's definition of digital customers may count the same user more than once when the user is active across multiple services.

History

2009–2016

VEON Ltd. was founded in 2009 as VimpelCom Ltd., a multinational holding company. Incorporated in Bermuda and headquartered in the Netherlands, VimpelCom was formed when Telenor and Alfa agreed to merge their assets in the telecommunications companies PJSC VimpelCom and Kyivstar. At the time of the incorporation, Kyivstar was Ukraine's largest wireless operator, while PJSC VimpelCom was the second-largest telecommunications operator in Russia. Kyivstar had been founded in 1994 by Ihor Lytovchenko, who also served as its long-term CEO. PJSC VimpelCom, founded in 1992 by American businessman Augie K Fabela II and Dmitry Zimin, was established as a mobile carrier. It launched its Beeline brand in 1993 and listed on the New York Stock Exchange in 1996.

Under CEO Alexander Izosimov, VimpelCom acquired Orascom Telecom and Wind from Naguib Sawiris in 2011. After a number of acquisitions, as of 31 December 2011 VimpelCom had 205 million customers across 20 countries, and by 2012 it was the 13th-largest mobile network operator in the world by number of subscribers. The company switched its listing from the NYSE Euronext to the Nasdaq on 10 September 2013. It sold its majority stake in Wind Mobile to Globalive in 2014 for US$272 million. In 2015, the government of Algeria acquired VimpelCom's 51% stake in Djezzy for US$2.6 billion.

Between 2006 and 2012, VimpelCom and its Uzbek subsidiary Unitel made more than US$114 million in bribery payments in connection with entering and continuing to operate in the Uzbek telecommunications market. U.S. prosecutors later identified the recipient as Gulnara Karimova, daughter of former Uzbek president Islam Karimov. The investigations also concerned VimpelCom's prior dealings with Takilant Ltd.

In February 2016, VimpelCom reached resolutions with the U.S. Securities and Exchange Commission, the United States Department of Justice and Dutch authorities over violations related to its business in Uzbekistan. VimpelCom paid approximately US$795 million in fines and disgorgement, while Unitel entered a guilty plea in the United States. The resolutions also required VimpelCom to retain an independent compliance monitor for three years to assess its compliance program, internal accounting controls, recordkeeping and financial reporting procedures.

VimpelCom reported revenue of US$9.78 billion in 2016, while its assets were reported at US$33.85 billion.

2017–2022

In February 2017, VimpelCom renamed itself VEON, after the messaging platform that it had developed. The company said the rebranding was part of a shift towards positioning itself as a technology company rather than solely a telecommunications firm. VEON began listing its shares on Euronext Amsterdam in April 2017. In July 2017, VEON launched a personal internet platform named VEON in Ukraine, Bangladesh, Pakistan, Italy and Georgia. Following a number of divestments and a business transformation, by mid-2017 VEON had around 200 million combined subscribers across 12 markets.

In March 2018, CEO Jean-Yves Charlier resigned, and CEO duties were temporarily assumed by VEON's chair, Ursula Burns. Burns was appointed CEO in December 2018 while remaining chair. In October 2019, VEON hired Sergi Herrero and former Turkcell CEO Kaan Terzioğlu as joint chief operating officers. They succeeded Burns as co-CEOs in February 2020, and in June 2020 Gennady Gazin succeeded Burns as chairman.

In 2020, VEON purchased the remaining 15% stake in Jazz from Abu Dhabi Group, giving it full ownership. The company also sold its Armenian operations to Team LLC in 2020. In July 2021, Terzioğlu became VEON's Group CEO, with oversight of VEON's executives and regional CEOs assigned to separate markets. The company sold its Georgia unit for US$45 million in June 2022. In August 2022, VEON completed the sale of its remaining stake in Djezzy to the government of Algeria for US$682 million.

Following Russia's full-scale invasion of Ukraine in February 2022, VEON announced the sale of its Russian operations in November 2022.

2023–2025

VEON completed the sale of its Russian operations on 9 October 2023, ending its presence in the Russian market. Following the sale, the company reduced the size of its board from 11 to seven members.

On 25 November 2024, VEON delisted its shares from Euronext Amsterdam, leaving Nasdaq as the company's sole public trading venue. In December 2024, the company moved its group headquarters from Amsterdam to the Dubai International Financial Centre in the United Arab Emirates.

In August 2025, VEON completed the sale of its 50.1% indirect stake in Sky Mobile, which operates under the Beeline brand in Kyrgyzstan, to state-owned Eldik Bank. On 15 August, shares of Kyivstar began trading on Nasdaq under the ticker symbol KYIV, making it the first Ukrainian company to list on a United States stock exchange.

For 2025, VEON reported total revenue of US$4.399 billion, compared with US$4.004 billion in 2024.

Owners

VEON's major shareholders as of 1 March 2026 were:

45.46% of common shares held by LPE Middle East Limited, an affiliate of LetterOne

7.89% held by Stichting Administratiekantoor Mobile Telecommunications Investor

8.17% held by Lingotto Investment Management LLP

6.62% held by Shah Capital Management Inc.

Subsidiaries

VEON operates telecommunications and digital-services businesses in five markets.

Banglalink (Bangladesh) – VEON's telecommunications and digital-services operator in Bangladesh, with 35.0 million mobile subscribers in the second quarter of 2026.

Beeline (Kazakhstan) – VEON's telecommunications and digital-services operator in Kazakhstan, with 11.7 million mobile subscribers in the second quarter of 2026.

Jazz (Pakistan) – VEON's telecommunications and digital-services operator in Pakistan, with 75.4 million mobile subscribers in the second quarter of 2026. Jazz launched 5G services in March 2026.

Kyivstar (Ukraine) – VEON's telecommunications and digital-services operator in Ukraine, with 21.8 million mobile subscribers in the second quarter of 2026. Kyivstar began trading on Nasdaq in August 2025, becoming the first Ukrainian company listed on a U.S. stock exchange.

Beeline (Uzbekistan) – VEON's telecommunications and digital-services operator in Uzbekistan, with 7.7 million mobile subscribers in the second quarter of 2026.

स्रोत: विकिपीडिया (अंग्रेज़ी), CC BY-SA 4.0 · विकिपीडिया पर देखें ↗

Wikidata ↗

क्षेत्रTelecommunication उद्योगTelecommunication कर्मचारी18938 देशAE

10-वर्षीय प्रदर्शन राजस्व, शुद्ध आय, मार्जिन और ईपीएस रुझान

06
राजस्व$4.40B
2017-12-31 → 2025-12-31
EPS$0.30
2019-12-31 → 2025-12-31
शुद्ध मार्जिन13.4%
2017-12-31 → 2025-12-31
मूल्यांकन और अनुपात 07–12

मूल्यांकन P/E, P/S, P/B, EV/EBITDA अनुपात — क्या स्टॉक महंगा है या सस्ता?

मेट्रिक 5Y रुझान VEON 5Y औसत सहकर्मी माध्यिका निर्णय
P/E 175.25Y औसत ≈62.5 ≈62.5 · ·

सहकर्मी माध्यिका को प्रति मीट्रिक मानकीकृत आधार पर गणना की जाती है और यह हमेशा इस स्टॉक के लिए दिखाए गए TTM/MRQ आधार से मेल नहीं खा सकती है।

मान · ≈ 5Y औसत · उद्योग माध्य · माध्य के सापेक्ष निर्णय

लाभांश यील्ड, भुगतान अनुपात, लाभांश इतिहास, 5Y CAGR

13
वार्षिक भुगतान≈$7.50अर्ध-वार्षिक भुगतान
एक्स-डेटराशिमुद्रायील्ड
फ़र 26, 2020$3.75USD≈12.7%
अग 13, 2019$3.25USD≈11.2%
मा 7, 2019$4.25USD≈7.2%
मा 2, 2018$4.25USD≈9.8%
अग 10, 2017$2.75USD≈8.6%
मा 28, 2017$4.88USD≈5.9%
नव 16, 2016$0.88USD≈1.1%
नव 19, 2015$0.88USD≈0.96%
नव 20, 2014$0.88USD≈0.60%
नव 14, 2013$11.25USD≈12.8%
अप्र 25, 2013$28.50USD≈16.8%
दिस् 24, 2012$20.00USD≈7.6%
नव 29, 2011$11.25USD≈6.9%
मई 27, 2011$3.75USD≈5.8%
मा 15, 2011$4.75USD≈4.7%
नव 24, 2010$11.50USD≈3.0%
नव 9, 2009$8.15USD≈1.6%
अप्र 28, 2008$14.43USD≈2.0%
मई 10, 2007$8.02USD≈1.7%

Earnings History EPS वास्तविक बनाम अनुमान, आश्चर्य %, बीट दर, अगली आय तिथि

14
औसत आश्चर्य -0.91%
अगली रिपोर्ट नव 06, 2026
Periodरिपोर्टEPS ActualEPS अनुमानआश्चर्य
30 जून 2026 जुल 31, 2026 $1.69 $1.49 13.5%
31 मार्च 2026 मई 13, 2026 $1.39 $1.36 2.5%
31 दिसमबर 2025 $-0.44 $1.12 -139.2%
30 सितमबर 2025 $-0.48 $-2.25 78.7%
30 जून 2025 $0.76 $0.97 -21.6%
31 मार्च 2025 $1.36 $0.85 60.6%

पूर्ण मौलिक सभी मेट्रिक्स प्रति वर्ष — आय विवरण, बैलेंस शीट, नकदी प्रवाह

15
आय विवरण 13
मेट्रिक रुझान 2025202420232022202120202019201820172016
Revenue $4.40B$4.00B$3.70B$3.75B$3.85B$3.48B$8.09B$9.09B$9.47B$8.88B
SG&A Expense $1.88B$1.80B$1.65B$1.53B$1.53B$1.40B$2.74B$3.70B$3.75B$3.67B
Operating Income $1.44B$1.11B$929M$1.16B$1.02B$823M$1.86B$554M$1.47B$1.08B
Interest Expense $535M$495M$531M$583M$591M$569M$876M$816M$935M$830M
Interest Income $52M$49M$60M$32M$13M$19M$52M$67M$95M$69M
Pretax Income $785M$704M$559M$802M$464M$373M$1.04B$-248M$328M$288M
Income Tax $194M$217M$179M$69M$344M$279M$462M$369M$472M$635M
Net Income $591M$487M$-2.45B$-9M$801M$-316M$683M$362M$-534M$2.42B
EPS (Basic) $0.30$0.23$-1.44$-0.09$0.38$-0.20$0.36···
EPS (Diluted) $0.30$0.23$-1.44$-0.09$0.38$-0.20$0.36···
Shares (Basic) 1,746,000,0001,770,000,0001,756,000,0001,753,000,0001,756,000,0001,753,000,0001,749,000,0001,749,000,0001,749,000,0001,749,000,000
Shares (Diluted) 1,794,000,0001,811,000,0001,782,000,0001,761,000,0001,782,000,0001,761,000,0001,749,000,0001,749,000,0001,749,000,0001,749,000,000
EBITDA $1.44B$1.11B$929M$1.16B$1.54B$635M$2.02B$554M$1.51B·
बैलेंस शीट 11
मेट्रिक रुझान 2025202420232022202120202019201820172016
Cash & Equivalents $702M$889M$448M$928M$1.49B$694M$932M$756M$850M$1.71B
Receivables $601M$448M$542M$456M···$577M$755M$685M
Inventory $32M$15M$23M$18M$111M$111M$169M$141M$72M$125M
Current Assets ····$3.55B$2.85B$2.50B$3.11B$3.92B$4.55B
PP&E (Net) ···$2.85B$6.72B$6.88B$7.34B$4.93B$6.24B$6.72B
Goodwill $399M$338M$349M$394M$1.54B$2.68B$3.96B$3.82B$4.62B$4.70B
Intangibles ·······$1.85B$2.17B$2.26B
Total Assets $9.21B$8.04B$8.22B$15.08B$15.92B$14.55B$16.06B$14.10B$19.48B$21.19B
Accounts Payable $1.44B$1.28B$1.20B$1.09B$2.03B$1.95B$1.85B$1.62B$1.54B$1.74B
Current Liabilities $3.43B$3.63B$3.58B$4.64B$4.38B$4.41B$5.77B$4.41B$4.63B$6.56B
Stockholders' Equity $1.34B$1.10B$858M$569M$586M$163M$1.23B$3.67B$4.33B$5.96B
नकदी प्रवाह 4
मेट्रिक रुझान 2025202420232022202120202019201820172016
Operating Cash Flow ·····$2.44B$2.95B$2.52B$2.48B$1.88B
CapEx $733M$627M$531M$634M$699M$550M····
Investing Cash Flow ·····$-1.91B$-1.89B$2.00B$-3.02B$-2.67B
Financing Cash Flow ·····$-103M$-1.64B$-3.92B$-733M$-126M
लाभप्रदता 7
मेट्रिक रुझान 2025202420232022202120202019201820172016
Operating Margin 32.7%27.7%25.1%31.0%19.8%8.0%·6.1%15.9%·
Net Margin 13.4%12.2%-66.2%-0.24%10.3%-4.0%·4.0%-5.2%·
Pretax Margin 17.8%17.6%15.1%21.4%11.7%0.33%·-2.7%-0.25%·
EBITDA Margin 32.7%27.7%25.1%31.0%19.8%8.0%·6.1%15.9%·
ROA 6.9%6.0%-21.0%-0.06%5.3%-2.1%4.3%2.2%-2.4%·
ROE 48.5%49.8%-343.4%-1.6%213.9%-45.5%27.9%9.0%-9.6%·
ROIC 80.8%69.9%73.6%186.8%188.6%-4734.8%95.2%37.6%715.2%·
तरलता और शोधन क्षमता 3
मेट्रिक रुझान 2025202420232022202120202019201820172016
Current Ratio ····0.80.60.40.70.8·
Quick Ratio 0.40.40.30.20.30.20.20.30.3·
Interest Coverage 2.72.21.72.02.20.92.30.71.6·
दक्षता 2
मेट्रिक रुझान 2025202420232022202120202019201820172016
Asset Turnover 0.50.50.30.20.50.5·0.50.5·
Receivables Turnover 8.48.07.4····13.613.3·
प्रति शेयर 4
मेट्रिक रुझान 2025202420232022202120202019201820172016
Revenue / Share $2.45$2.21$2.08$2.13$4.44$4.56·$5.20$5.42·
Cash Flow / Share ·····$1.40$1.69$1.44$1.42·
Dividend / Share $0.00$0.00$0.00$0.00$0.00$0.00$0.28···
EPS (TTM) $0.30$0.23$-1.44$-0.09$0.38$-0.20$0.36···
मूल्यांकन (TTM) 4
मेट्रिक रुझान 2025202420232022202120202019201820172016
Revenue TTM $4.40B$4.00B$3.70B$3.75B$3.85B$3.48B$8.09B$9.09B$9.47B·
Net Income TTM $591M$487M$-2.45B$-9M$801M$-316M$683M$362M$-534M·
P/E 175.2174.3-13.7-136.1112.5-188.8175.7···
Earnings Yield 0.57%0.57%-7.3%-0.73%0.89%-0.53%0.57%···

सबसे हाल की अवधि बाईं ओर · शून्य मान इस प्रकार दिखाए गए हैं ·

वित्तीय विवरण आय विवरण, बैलेंस शीट, नकदी प्रवाह — वार्षिक, पिछले 5 वर्ष

16
मेट्रिक 2025-12-312024-12-312023-12-312022-12-312021-12-31
राजस्व $4.40B $4.00B $3.70B $3.75B $3.85B
परिचालन मार्जिन % 32.7% 27.7% 25.1% 31.0% 19.8%
शुद्ध आय $591M $487M $-2.45B $-9M $801M
तनुकरणित EPS $0.30 $0.23 $-1.44 $-0.09 $0.38

संस्थागत मालिक (13F) 117 फाइलर्स · $827.6M कुल · तिथि अनुसार 30 जून 2026

17

संस्थान जो अपनी तिमाही SEC फॉर्म 13F में इस स्टॉक को होल्ड करने की रिपोर्ट करते हैं। केवल लॉन्ग पोजीशन; एक ही फाइलर अलग-अलग ऑप्शन लेग्स के लिए दो बार दिखाई दे सकता है। बड़े ऑफसेटिंग पुट/कॉल लेग्स आमतौर पर मार्केट-मेकिंग या हेज्ड इन्वेंट्री को दर्शाते हैं, न कि दिशात्मक विश्वास को।

धारक 117
धारित मूल्य $827.6M
नई स्थितियाँ 22
बाहर निकली पोजीशन 10
संस्थागत गतिविधि — Q2 2026 बनाम पिछली तिमाही
नई स्थितियाँ बाहर निकली पोजीशन बढ़ाया घटा हुआ शुद्ध शेयर परिवर्तन
22 (+12 पिछली तिमाही की तुलना में) 10 (-12 पिछली तिमाही की तुलना में) 34 (-4 पिछली तिमाही की तुलना में) 29 (-6 पिछली तिमाही की तुलना में) -1.1M

Q1 2026 की तुलना में। SEC फॉर्म 13F फाइलिंग तिमाही के अंत के 45 दिनों के भीतर देय होती है, साथ ही देर से फाइल करने वालों के लिए एक छोटा बफर भी होता है — उस विंडो के भीतर आने वाली तिमाहियों को सबसे हालिया पूरी तरह से रिपोर्ट की गई जोड़ी के पक्ष में छोड़ दिया जाता है।

संस्था मूल्य शेयर % ट्रैक किए गए 13F का प्रकार
Lingotto Investment Management LLP $274892072 5265123 33.22% शेयर
SHAH CAPITAL MANAGEMENT $243694247 4667578 29.45% शेयर
Solus Alternative Asset Management LP $46310374 887002 5.60% शेयर
WELLINGTON MANAGEMENT GROUP LLP $40675610 779077 4.91% शेयर
MORGAN STANLEY $39045353 747852 4.72% शेयर
Panview Capital Ltd $32924461 630616 3.98% शेयर
VR Advisory Services Ltd $31388913 601205 3.79% शेयर
Pictet Asset Management Holding SA $14835210 284145 1.79% शेयर
MACKENZIE FINANCIAL CORP $14285648 273619 1.73% शेयर
TWO SIGMA INVESTMENTS, LP $10126130 193950 1.22% शेयर
GABELLI FUNDS LLC $6570106 125840 0.79% शेयर
JPMORGAN CHASE & CO $5868103 112935 0.71% शेयर
Russell Investments Group, Ltd. $5841091 111876 0.71% शेयर
CITADEL ADVISORS LLC $4206507 80569 0.51% शेयर
TWO SIGMA ADVISERS, LP $3986068 75824 0.48% शेयर
RWC Asset Management LLP $3561087 68207 0.43% शेयर
JGP Global Gestao de Recursos Ltda. $3485018 66750 0.42% शेयर
UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC $3148770 68008 0.38% शेयर
Cubist Systematic Strategies, LLC $2016523 37048 0.24% शेयर
GEODE CAPITAL MANAGEMENT, LLC $1873190 35878 0.23% शेयर
MARSHALL WACE, LLP $1841969 35280 0.22% शेयर
NATIONAL BANK OF CANADA /FI/ $1722930 33000 0.21% शेयर
DIVERSIFY WEALTH MANAGEMENT, LLC $1653396 31981 0.20% शेयर
Diversify Advisory Services, LLC $1653396 31981 0.20% शेयर
BNP PARIBAS FINANCIAL MARKETS $1588541 30426 0.19% शेयर
BNP PARIBAS ASSET MANAGEMENT Holding S.A. $1575593 30178 0.19% शेयर
GOLDMAN SACHS GROUP INC $1544633 29585 0.19% शेयर
Hudson Bay Capital Management LP $1536958 29438 0.19% शेयर
NOMURA ASSET MANAGEMENT INTERNATIONAL INC. $1529000 29290 0.18% शेयर
MILLENNIUM MANAGEMENT LLC $1521452 29141 0.18% शेयर
ENVESTNET ASSET MANAGEMENT INC $1507722 28882 0.18% शेयर
Point72 Asset Management, L.P. $1394425 26708 0.17% शेयर
PRELUDE CAPITAL MANAGEMENT, LLC $1372496 26288 0.17% शेयर
Dorsey Wright & Associates $1326082 25399 0.16% शेयर
Vontobel Holding Ltd. $1224899 23461 0.15% शेयर
QRG CAPITAL MANAGEMENT, INC. $1014754 19436 0.12% शेयर
CITADEL ADVISORS LLC $945001 18100 0.11% पुट ऑप्शन
UBS Group AG $920776 17636 0.11% शेयर
AdvisorShares Investments LLC $833167 15958 0.10% शेयर
BANK OF AMERICA CORP /DE/ $804348 15406 0.10% शेयर
BlackRock, Inc. $731671 14014 0.09% शेयर
GAMCO INVESTORS, INC. ET AL $712144 13640 0.09% शेयर
STIFEL FINANCIAL CORP $691309 13241 0.08% शेयर
SBI Securities Co., Ltd. $630436 12075 0.08% शेयर
DEUTSCHE BANK AG\ $626520 12000 0.08% शेयर
K2 PRINCIPAL FUND, L.P. $556298 10655 0.07% शेयर
LAZARD ASSET MANAGEMENT LLC $547683 10490 0.07% शेयर
Trexquant Investment LP $488633 9359 0.06% शेयर
MML INVESTORS SERVICES, LLC $463625 8880 0.06% शेयर
CITADEL ADVISORS LLC $449006 8600 0.05% कॉल ऑप्शन

सभी 117 संस्थागत मालिक दिखाएँ →

कार्यकर्ता और 5%+ मालिक 10 होल्डिंग्स

18

जिन निवेशकों ने SEC शेड्यूल 13D दाखिल किया है — जारीकर्ता को प्रभावित करने के इरादे से 5% से अधिक लाभकारी स्वामित्व (कार्यकर्ता दांव, बोर्ड अभियान, M&A)। प्रत्येक पंक्ति उस फाइलर की स्थिति की सबसे हालिया ज्ञात स्थिति दिखाती है।

फाइलर दाखिल किया दांव स्थिति उद्देश्य फाइलिंग
L1TS (Cyprus) Ltd, LPE Middle East Limited, Letterone Investment Holdings S.A. 25 सितमबर 2026 45.46% संशोधन · SEC
LPE Middle East Limited, L1TS (Cyprus) Ltd, Letterone Investment Holdings S.A. 18 दिसमबर 2025 45.46% संशोधन · SEC
Shah Capital Management, Shah Capital Opportunity Fund LP, Himanshu H. Shah ×3 फाइलिंग 21 अक्टूबर 2024 · प्रारंभिक फाइलिंग निष्क्रिय निवेश SEC
Telenor East Holding II AS, Telenor Mobile Holding AS, Telenor ASA ×40 फाइलिंग 26 नवमबर 2019 · प्रारंभिक फाइलिंग · SEC
L1T VIP Holdings S.à r.l. 000-00-0000, Letterone Core Investments S.à r.l. 000-00-0000, Letterone Investment Holdings S.A. 000-00-0000 ×4 फाइलिंग 13 सितमबर 2019 · प्रारंभिक फाइलिंग · SEC
Altimo Coöperatief U.A. 000-00-0000, Altimo Holdings & Investments Ltd. 000-00-0000, Letterone Overseas Investments Limited 000-00-0000, Letterone Holdings S.A. 000-00-0000 ×16 फाइलिंग 18 दिसमबर 2014 · प्रारंभिक फाइलिंग · SEC
Altimo Coöperatief U.A 000-00-0000, Altimo Holdings & Investments Limited 000-00-0000, CTF Holdings Limited 000-00-0000, Crown Finance Foundation 000-00-0000 9 अप्रैल 2013 · प्रारंभिक फाइलिंग · SEC
Weather Investments II S. à r.l. 000-00-0000, Marchmont Limited 000-00-0000, February Private Trust Company (Jersey) Limited, as Trustee of the Marchmont Trust 000-00-0000 ×7 फाइलिंग 16 अगस्त 2012 · प्रारंभिक फाइलिंग · SEC
Forrielite Limited, Oleg Kiselev ×2 फाइलिंग 4 जनवरी 2012 · प्रारंभिक फाइलिंग · SEC
Telenor Mobile Communications AS, Telenor East Holding II AS, Telenor East Invest AS, Telenor Mobile Holding AS, Telenor ASA ×4 फाइलिंग 21 दिसमबर 2010 · प्रारंभिक फाइलिंग · SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

कंपनी के अंदरूनी सूत्र 2 इनसाइडर्स · 0 अधिकारी · 1 निदेशक

19
अंदरूनी भूमिका अंतिम गतिविधि शेयरों का स्वामित्व खरीद 12m बिक्री 12m नेट 12m
Michael Pompeo निदेशक 7 जून 2026 A 186435 0 0 $0
Augie K Fabela II · 7 अगस्त 2026 P 96000 3 0 $1119969

SEC फॉर्म 3/4/5 फाइलिंग से अंदरूनी सूत्र; नेट = केवल ओपन-मार्केट P/S

ईटीएफ स्वामित्व 1 ETF द्वारा धारित

20

वजन केवल प्रत्यक्ष इक्विटी होल्डिंग्स (N-PORT) को दर्शाता है; लीवरेज्ड या डेरिवेटिव-आधारित फंड में अतिरिक्त स्वैप एक्सपोजर हो सकता है जो नहीं दिखाया गया है।

फंड भार इकाइयाँ तिथि अनुसार स्रोत
ISCF · iShares Trust 0.15% 14754 SH 11 सितमबर 2026 दैनिक

VEON विश्लेषक सर्वसम्मति तेजी और मंदी के विश्लेषक राय, 12-महीने का मूल्य लक्ष्य, अपसाइड

21
रेटिंग · 10 विश्लेषक खरीदें
मध्यिका लक्ष्य $85.00 +12.4%
2 20.0% मजबूत खरीद
7 70.0% खरीदें
1 10.0% होल्ड
0 0.0% बेचें
0 0.0% मजबूत बिक्री

12-महीने का मूल्य लक्ष्य

7 विश्लेषक · 2026-10-01

माध्य लक्ष्य $86.87 +14.9%

अभी वर्तमान मूल्य $75.64
निम्न$73.52 माध्य$86.87 उच्च$100.00

सहकर्मी तुलना (GICS उप-उद्योग) प्रमुख मेट्रिक्स बनाम सेक्टर के साथी

22

वित्तीय वर्ष के आधार पर, प्रत्येक कंपनी के पिछले वित्तीय वर्ष के अंत के बंद भाव के अनुसार कीमतें।

टिकर मार्केट कैप P/E राजस्व YoY शुद्ध मार्जिन ROE सकल मार्जिन
VEON · 175.2 · 13.4% 48.5% ·
KYIV · 22.8 · 10.7% 10.4% ·

मेरे मेट्रिक्स आपकी व्यक्तिगत वॉचलिस्ट — पूर्ण फंडामेंटल से चयनित पंक्तियाँ

26

उन मेट्रिक्स को चुनें जो आपके लिए मायने रखते हैं — ऊपर फुल फंडामेंटल्स में किसी भी पंक्ति के बगल में + पर क्लिक करें।

आपका चयन सहेजा गया है और यह सभी टिकर में आपके साथ रहता है।

स्रोत: SEC 20-F मा 16, 2026 को फाइल किया गया