HomeMarketsSharesPark-Ohio Holdings Corp

Trade Park-Ohio Holdings Corp - PKOH CFD

Market is not available at the momentMarket information is presented
as of 2026-05-11 19:47:43
Trading Conditions
Type
This financial market is available for CFD trading.
Learn more about:CFDs
CFD
Spread0.3
Long position overnight funding adjustment
Long position overnight funding adjustment

Margin. Your investment
$1,000.00
Overnight funding adjustment
Charges from full value of position
-0.021429 %
(-$4.29)

Trade size with leverage ~ $20,000.00

Money from leverage ~ $$19,000.00


-0.02143%
Short position overnight funding adjustment
Short position overnight funding adjustment

Margin. Your investment
$1,000.00
Overnight funding adjustment
Charges from full value of position
-0.000793 %
(-$0.16)

Trade size with leverage ~ $20,000.00

Money from leverage ~ $$19,000.00


-0.00079%
Overnight funding adjustment time21:00 (UTC)
CurrencyUSD
Min traded quantity1
Margin5.00%
Stock exchangeUnited States of America
Commission on trade10%
Guaranteed stop premium
A guaranteed stop-loss (GSL) fee is only charged if the GSL is triggered. Please consult the Charges and Fees section of our website for more details.
1%

1Our charge for executing your trade is the spread, the difference between the buy and sell price. Please consult the Charges and Fees section of our website for further information

Key Stats
Prev. Close30.68
Open29.96
1-Year Change53.01%
Day's Range29.56 - 30.85

Trade Park-Ohio Holdings Corp - PKOH CFD

About Park-Ohio Holdings Corp.

Park-Ohio Holdings Corp. is a diversified international company that provides customers with a supply chain management outsourcing service, capital equipment used on their production lines, and manufactured components used to assemble their products. The Company’s segments include Supply Technologies, Assembly Components and Engineered Products. Its Supply Technologies segment includes production components, such as fasteners, pins, valves, hoses, wire harnesses, clamps and fittings, rubber and plastic components, and other class C and maintenance, repair and operations (MRO) products. Its Assembly Components segment includes extruded and molded rubber and thermoplastic products, fuel filler assemblies, gasoline direct injection systems, control arms, knuckles, engine cradles and brackets, and oil pans. Its Engineered Products include induction heating and melting systems, pipe threading systems, industrial oven systems, forging presses, and forged steel and machined products.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Park-Ohio Holdings Corp. revenues increased 11% to $1.44B. Net loss before extraordinary items increased from $9.8M to $27.9M. Revenues reflect Supply Technologies segment increase of 21% to $619.5M, Assembly Components segment increase of 9% to $482.5M, United States segment increase of 9% to $863.3M, Mexico segment increase of 38% to $139.4M, Europe segment increase of 20% to $193M.

Equity composition

Common Stock $1 Par, 03/11, 40M auth. 13,396,674 issd., less1,558,996 shs. in Treas. @ $18.5M. Insiders own 29.75%. 12/93, 24,667 Preferred shares converted into 49,334 shs of Common. 6/98, Name changed from Park-Ohio Industries. FY'01 Q's are reclassified. FY'02 Q's are restated for accounting change.

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