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Locafy Limited (LCFYW) Stock Analysis

NASDAQTechnologySoftware - Application

$7.18+81.77%
1-year price historyRange $1.99 – $55.00
52-week range$7.18
$2.00$7.90

What Locafy Limited does

Locafy Limited develops online marketing software-as-a-service technology that publishes content on search engine optimized web pages for business owners in Australia, North America, and internationally. The company operates through two segments, Publishing and SEO Agency. It also provides search solutions that helps maximize the online marketing presence for business owners to improve search prominence within AI search results, Map Pack search results and organic search results, including listings, AI pages, map pack booster, articles, and display advertising. The company offers customer engagement solutions designed to give businesses prominence in search; AI Concierge product is designed to provide customer engagement. In addition, it provides users 24/7 telephone coverage for a multitude of use-cases such as answering customer questions or accepting calendar bookings at a lower cost than existing call-center or dedicated administration personnel. Further, the company offers subscription and advertising services. The company was formerly known as Moboom Limited and changed its name to Locafy Limited in January 2021. Locafy Limited was incorporated in 2009 and is based in Subiaco, Australia.

Key metrics

Market cap
$7.19M
P/E (TTM)
-93.25
EPS (TTM)
$-0.08
Beta
1.64
Dividend yield
0.00%
Revenue / share
$1.55
50-day avg
$5.55
200-day avg
$4.73
52-week high
$7.90
52-week low
$2.00
CEO
Gavin Burnett

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Frequently asked questions

What is the ticker symbol for Locafy Limited?
Locafy Limited trades under the ticker LCFYW on NASDAQ.
Which exchange is LCFYW listed on?
LCFYW is listed on NASDAQ.
What sector does Locafy Limited operate in?
Locafy Limited is classified in the Technology sector (Software - Application industry).
How can PortView help analyze LCFYW in a portfolio?
PortView shows LCFYW's weight in your portfolio, its contribution to return and risk, sector exposure, indirect exposure through ETFs you own, and correlation with your other holdings.

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