Orbital Infrastructure (OIG) Stock Analysis
NASDAQIndustrialsEngineering & Construction
What Orbital Infrastructure does
Orbital Infrastructure Group, Inc. (OIG) is a specialized firm that offers extensive engineering, design, construction, and upkeep services to clients in the electric power, telecommunications, and renewable energy sectors. For the electric power industry, OIG handles the planning, installation, upgrades, repairs, and ongoing maintenance of crucial infrastructure, such as power transmission and distribution networks, along with substation facilities. The company also provides essential emergency restoration services and expert drilled shaft foundation construction for various applications, including electric transmission, substations, industrial projects, telecommunications, and disaster recovery efforts. Within the telecommunications domain, OIG delivers comprehensive engineering, design, construction, and maintenance support for both broadband and wireless networks. They also extend enterprise-level solutions to cable and telecom companies, offering a wide array of wireless service capabilities. Additionally, OIG plays a significant role in the renewable energy sector, providing full-scope engineering, procurement, and construction (EPC) services, primarily focused on utility-scale solar power generation projects. Established in 1998 and headquartered in Houston, Texas, the company operated as Orbital Energy Group, Inc. until it adopted its current name, Orbital Infrastructure Group, Inc., in August 2022.
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Frequently asked questions
- What is the ticker symbol for Orbital Infrastructure?
- Orbital Infrastructure trades under the ticker OIG on NASDAQ.
- Which exchange is OIG listed on?
- OIG is listed on NASDAQ.
- What sector does Orbital Infrastructure operate in?
- Orbital Infrastructure is classified in the Industrials sector (Engineering & Construction industry).
- How can PortView help analyze OIG in a portfolio?
- PortView shows OIG'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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