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Stran & Co (SWAGW)

NASDAQ

0,022 $

-0,0061 $ (

-21,71 %

)

1D
5D
1M
6M
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Pre market

SWAGW: 0,022 $ / ₿ 0 BTC / 35 Sats

1D
5D
1M
6M
1Y
5Y

Key statistics

0,028 $
0,010 $ - 0,46 $
1.000,00 $
0,022 $ - 0,080 $
No

What is Stran & Co (SWAGW)?

Stran & Co Inc este un furnizor de soluții de marketing externalizate, colaborând strâns cu clienții pentru a dezvolta programe de marketing sofisticate care valorifică produse promoționale și expertiza în stimulente de loialitate. Pe lângă vânzarea de produse de marcă, oferă clienților săi capacități personalizate de aprovizionare, care reprezintă o soluție de comerț electronic flexibilă și personalizabilă pentru promovarea mărfurilor de marcă și a altor produse promoționale, gestionarea loialității și stimulentelor promoționale, materiale tipărite, active pentru evenimente, gestionarea comenzilor și a stocurilor, și proiectarea și găzduirea de magazine pop-up online. Segmentul companiei este format din segmentul Stran și segmentul SLS. Compania generează majoritatea veniturilor sale din segmentul Stran.

The Stran & Co (SWAGW) stock price has been falling

The Stran & Company, Inc. Warrant (SWAGW) stock pre-market price today is 0,022 $, reflecting a -21,71 % pre-market move since the market last closed. The company’s market capitalization stands at , with a daily trading volume of 1,00 mii $ shares. The previous closing price was 0,028 $.

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SWAGW FAQs

SWAGW is in the Communication Services sector. Sector is a broad classification that groups companies based on their business activities, industry focus or economic function.

SWAGW is in the Advertising Agencies industry. Industry is a more specific classification within a sector, grouping companies that operate in a similar field and have closely related business models.

Over the past 52 weeks, Stran & Company, Inc. Warrant (SWAGW) has traded between a low of 0,010 $ and a high of 0,46 $.

SWAGW is in the Media - Diversified industry group. Industry group is a further subdivision within an industry, grouping companies with even more closely related business models and operations. This helps investors analyze stocks at a more detailed level than sector and industry classifications alone.

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