Senstar Technologies (SNT) Stock Analysis
NASDAQIndustrialsSecurity & Protection Services
What Senstar Technologies does
Senstar Technologies Ltd., established in 1984 in Ramat Gan, Israel, specializes in the development, manufacturing, and global distribution of advanced security solutions. The company offers a comprehensive suite of products, including sophisticated perimeter intrusion detection systems (PIDS) – such as fence-mounted, buried, and standalone sensors, often integrated with intelligent LED lighting. Their portfolio also features a unified operating platform for video management software, incorporating intelligent video analytics, PIDS, and electronic access control. Additionally, Senstar provides thermal imaging observation and surveillance equipment, as well as life safety and duress alarm systems. These cutting-edge technologies are utilized to safeguard national borders, critical infrastructure (including military bases, power plants, airports, seaports, correctional facilities, industrial sites, major retail chains, financial institutions, and energy operations), large-scale sporting events, and urban areas. Their primary objective is to deter and prevent unauthorized entry, terrorism, criminal acts, sabotage, and vandalism, thereby protecting vital assets, infrastructure, and personnel. Senstar distributes its security innovations through a robust network of system integrators and distribution partners. The company was formerly known as Magal Security Systems Ltd., rebranding to Senstar Technologies Ltd. in September 2021.
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Frequently asked questions
- What is the ticker symbol for Senstar Technologies?
- Senstar Technologies trades under the ticker SNT on NASDAQ.
- Which exchange is SNT listed on?
- SNT is listed on NASDAQ.
- What sector does Senstar Technologies operate in?
- Senstar Technologies is classified in the Industrials sector (Security & Protection Services industry).
- How can PortView help analyze SNT in a portfolio?
- PortView shows SNT'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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