Hledání v detailu akcií
Moje portfolio
Nastavit Oblíbené, nastavit Portfolio
Oblíbené tituly
select
NázevNejlepší
nákup
Nejlepší
prodej
Změna
(%)
ČEZ120612080,42
KB100610070,00
PKN82,4482,461,07
Msft478,3478,880,00
Nokia4,4394,4440,66
IBM282,8284,30,00
Mercedes-Benz Group AG48,8448,8450,78
PFE23,8823,890,00
20.06.2025 11:02:00
Indexy online
AD Index online
select
AD Index online
 

Mcphy Energy
Poslední obchod Změna (%) Změna Objem obchodů ()
- - -
Poslední obchod Změna (%) Změna Objem obchodů ()
- - -
R - Real-Time data si mohou aktivovat klienti Patria Plus / Investor Plus ZDE.

 
  • Poslední aktualizace: 20.06.2025
Popis společnosti
Obecné informace
Název společnostiMcphy Energy SA
TickerMCPHY
Kmenové akcie:Ordinary Shares
RICMCPHY.PA
ISINFR0011742329
Poslední známé roční výsledky31.12.2023
Poslední známé čtvrtletní výsledky31.12.2023
Počet zaměstnanců k 31.12.2023 265
Akcie v oběhu k 31.12.2023 27 855 166
MěnaEUR
Kontaktní informace
UliceLa Motte Fanjas
MěstoMOTTE-FANJAS
PSČ26190
ZeměFrance
Kontatní osobaEmmanuel Huynh
Funkce kontaktní osobyIR Contact Officer
Telefon33 475 711 505
Fax33475711501
Kontatní telefon330 144 719 494

Business Summary: McPhy Energy SAS is a France-based company that develops hydrogen storage and production solutions for the merchant hydrogen market and renewable energy markets. The Company sells solid-state hydrogen technology to provide a way for industrial gas renewable energy storage. Its products include the electrolyzer, a hydrogen generator that uses water as a raw material; solid hydrogen storage solutions with MCP and MGH series; and other ways that integrate electrolyzers and other solutions. It has offices in such countries as France, Italy and Germany and agents and distributors in Europe, Asia and Americas.
Financial Summary: BRIEF: For the fiscal year ended 31 December 2023, Mcphy Energy SA revenues increased 17% to EUR18.8M. Net loss increased 24% to EUR47.4M. Revenues reflect Asia Pacific segment increase from EUR400K to EUR2.8M, Middle East and Africa segment increase of 100% to EUR400K. Higher net loss reflects Payroll charges increase of 37% to EUR24.1M (expense), External Charges increase of 15% to EUR24.2M (expense).
Odvětvová klasifikace
TRBC2009Industrial Machinery / Equipment
TRBC2012Fluid Power Cylinder & Actuators
MGINDUSTRYMisc. Capital Goods
MGSECTORCapital Goods
NAICSFluid Power Cylinder and Actuator Manufacturing
NAICS2007Fluid Power Cylinder & Actuator Mfg
NAICS1997Fluid Power Cylinder and Actuator Manufacturing
SICFluid Power Cylinders & Actuators



  • Poslední aktualizace: 20.06.2025
Management společnosti
FunkceJménoVěkVe funkci odVe firmě od
Chairman of the BoardLuc Poyer5718.10.202117.06.2021
Chief Executive Officer, Member of the Executive CommitteeJean-Baptiste Lucas5318.10.202118.10.2021
Chief Financial Officer, Member of the Executive CommitteeAlexandre Burnet-21.09.202221.09.2022
Chief Operating Officer, Member of the Executive CommitteeAntoine Ressicaud-01.01.2021
Chief Human Resource Officer, Member of the Executive CommitteeAnne Delprat-
Chief Technology Officer, Member of the Executive CommitteeBenoit Barriere-
General Counsel, Company SecretaryLaeetitia Peyrat-
Chief Business Development, Member of the Executive BoardBertrand Amelot-22.07.2024
Chief Customer Service Officer, Member of the Executive CommitteeMarco Luccioli-01.01.2018
Chief Project Management Officer, Member of the Executive CommitteeAlexander Picco-01.01.2020