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SunScout Holding Limited Class A (SNSC) Stock Analysis

AMEXIndustrialsIndustrial - Machinery

$1.25+0.00%
1-year price historyRange $1.25 – $3.07
52-week range$1.25
$1.14$1.26

What SunScout Holding Limited Class A does

SunScout Holding Ltd. engages in the design, development, manufacture, and commercialization of solar-powered robotic equipment and related clean-energy technologies. It operates through the following segments: SunScout Products, Solar and Energy Solutions, and Engineering and Manufacturing Services. The SunScout Products segment offers solar-enabled robotic mowing and related autonomous equipment platforms, including associated accessories and support services. The Solar and Energy Solutions segment consists of solar power development and related solutions, including project development, engineering, procurement, construction management, operations, and maintenance services. The Engineering and Manufacturing Services segment focuses on engineering design and manufacturing support activities performed for internal programs and third parties, including prototyping, fabrication, testing, and related engineering services. The company was founded by Friedrich Edwin Cywinski and Marc Cywinski on August 18, 2025 and is headquartered in Palmerston North, New Zealand.

Key metrics

Market cap
$28.88M
Beta
0.00
Dividend yield
0.00%
Revenue / share
$0.20
50-day avg
$1.95
200-day avg
$1.95
52-week high
$1.26
52-week low
$1.14
CEO
Friedrich Cywinski

ETFs linked to SNSC

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PortView Portfolio Insights

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Frequently asked questions

What is the ticker symbol for SunScout Holding Limited Class A?
SunScout Holding Limited Class A trades under the ticker SNSC on AMEX.
Which exchange is SNSC listed on?
SNSC is listed on AMEX.
What sector does SunScout Holding Limited Class A operate in?
SunScout Holding Limited Class A is classified in the Industrials sector (Industrial - Machinery industry).
How can PortView help analyze SNSC in a portfolio?
PortView shows SNSC'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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