KRM22 PLC - ORD 10P

KRM22 PLC - ORD 10P

Share · GB00BFM6WC61 (XLON)
Overview
AI-Powered Analysis
Fundamental Analysis
Find out what the numbers really say — before the market does
Analyze now
News Sentiment
Are today's headlines a buy signal or a red flag?
Analyze now
Buy / Hold / Sell
Should you Buy, Hold, or Sell? Get the AI verdict now.
Analyze now
Risk Assessment
Uncover hidden risks before they hit your portfolio.
Analyze now
Fair Value
Is this stock cheap, fairly priced, or overvalued?
Analyze now
Latest AI Analyses of KRM22 PLC - ORD 10P
No Price
Closing Price XLON 21.04.2026: 34,00 GBX
21.04.2026 07:00
Current Prices from KRM22 PLC - ORD 10P
ExchangeTickerCurrencyLast TradePriceDaily Change
XLON: London
London
KRM.L
GBX
21.04.2026 07:00
34,00 GBX
0,00 GBX
OTC: UTC
UTC
KRMCF
USD
16.04.2026 20:00
0,44 USD
-
Share Float & Liquidity
Free Float 53,76 %
Shares Float 19,32 M
Shares Outstanding 35,94 M
Company Profile for KRM22 PLC - ORD 10P Share
KRM22 Plc, together with its subsidiaries, develops and sells risk management software to the financial services industry in the United Kingdom, Europe, the United States, and internationally. The company offers Risk Cockpit, which shows enterprise risk profile in real time; Regulatory Navigator that brings out-the-box regulatory functionality covering market abuse, SM&CR, and financial crime; and Market Surveillance that offers analytics and contextual market surveillance tools to help capital markets firms identify and manage the potential risks of market abuse, fraud, and operational breaches. It also provides Individual Accountability Regime, which allows financial institutions to manage accountability throughout the firm; Digital Client Onboarding that provides capital market firms with the tools to make client onboarding; and Regulatory Reporting that enables capital market firms to comply with its regulatory reporting obligations across multiple jurisdictions. In addition, the company offers Enhanced Due Diligence, which enables firms to understand online reputational risks and evidence compliance; Regulatory training that helps regulated firms address their mandatory training requirements; Post-Trade Risk – Stress, which scales the type and amount of risk calculations performed against various limits and risk slides; and Post-Trade Risk – VaR that provides the unique view of multiple VaR calculations across the whole portfolio in a single place. Further, it provides At-Trade Risk, which offers P&L and exchange margin for clearing houses and members, traders, brokers, and other financial institutions that make decisions based on the management of risk; and Pre-Trade Risk, which helps combat time consuming and error prone processes by maintaining pre-trade limits in one centralized application. The company was founded in 2017 and is headquartered in London, the United Kingdom.

Company Data

Name KRM22 PLC - ORD 10P
Company KRM22 Plc
Website https://www.krm22.com
Primary Exchange XLON London
ISIN GB00BFM6WC61
Asset Class Share
Sector Financial Services
Industry Asset Management
CEO Dan Carter
Market Capitalization 21 Mio
Country United Kingdom
Currency GBP
Employees 0,1 T
Address 5 Ireland Yard, EC4V 5EH London
IPO Date 2018-04-30

Ticker Symbols

Name Symbol
Over The Counter KRMCF
London KRM.L
More Shares
Investors who hold KRM22 PLC - ORD 10P also have the following shares in their portfolio:
AVOLON HDG F 24/29 REGS
AVOLON HDG F 24/29 REGS Bond
VALE OVERSEAS 20/30
VALE OVERSEAS 20/30 Bond