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Impinj (PI)

NASDAQ

131,87 $

−0,77 $ (

−0,58 %

)

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Market open

PI: 131,87 $ / ₿ 0.0022 BTC / 218516 Sats

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Key statistics

132,64 $
87,36 $ - 247,06 $
$ 4,02G
6.69
131,81 $
129 223,45 $
30,46 mn
130,61 $ - 133,68 $
129,58 $ - 133,83 $
Yes

What is Impinj (PI)?

Impinj Inc driver en plattform som möjliggör trådlös anslutning till vardagsföremål genom att leverera varje föremåls identitet, plats och äkthet till företags- och konsumentapplikationer. Dess plattform inkluderar slutpunkts-integrerade kretsar (IC:er), en miniatyrradio-på-chip, som fästs på och identifierar sina värdföremål; samt ett anslutningslager som består av läsare, gateways och läsar-IC:er för att trådlöst identifiera, lokalisera, autentisera och interagera med slutpunkter via RAIN, samt för att förse slutpunkts-IC:er med ström och kommunicera dubbelriktat med dem. Geografiskt har företaget affärsnärvaro i Amerika, Asien och Stillahavsområdet, Europa, Mellanöstern och Afrika, varav nyckelintäkter härrör från verksamheten i Asien och Stillahavsområdet.

The Impinj (PI) stock price has been falling

The Impinj, Inc. Common Stock (PI) stock price today is 131,87 $, reflecting a −0,58 % move since the market opened. The company’s market capitalization stands at $ 4,02G, with a daily trading volume of $ 129,22K shares. For investors tracking price trends, Impinj, Inc. Common Stock stock has ranged between 129,58 $ and 133,83 $ today. The previous closing price was 132,64 $.

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PI FAQs

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

PI is in the Semiconductors 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, Impinj, Inc. Common Stock (PI) has traded between a low of 87,36 $ and a high of 247,06 $.

PI is in the Semiconductors 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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