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5-day change | 1st Jan Change | ||
9.52 EUR | +4.44% | +5.14% | -22.03% |
Apr. 26 | Mib up; US stocks up after PCE data | AN |
Apr. 26 | Stock markets up; Tenaris good after quarterly report | AN |
Summary
- Overall, the company has poor fundamentals for a medium to long-term investment strategy.
- From a short-term investment perspective, the company presents a deteriorated fundamental situation
Strengths
- The company's profit outlook over the next few years is a strong asset.
- The group usually releases upbeat results with huge surprise rates.
Weaknesses
- As estimated by analysts, this group is among those businesses with the lowest growth prospects.
- The company sustains low margins.
- With an expected P/E ratio at 67.07 and 38.08 respectively for both the current and next fiscal years, the company operates with high earnings multiples.
- The firm pays small or no dividend to shareholders. For that reason, it is not a yield company.
- For the last twelve months, sales expectations have been significantly downgraded, which means that less important sales volumes are expected for the current fiscal year over the previous period.
- The sales outlook for the group was lowered in the last twelve months. This change in forecast points out a decline in activity as well as pessimistic analyses of the company.
- For the last 12 months, analysts have been regularly downgrading their EPS expectations. Analysts predict worse results for the company against their predictions a year ago.
- For the last four months, earnings estimated by analysts have been revised downwards with respect to the next two years.
- Most analysts recommend that the stock should be sold or reduced.
- The average price target of analysts who are interested in the stock has been significantly revised downwards over the last four months.
- Over the past twelve months, analysts' consensus has been significantly revised downwards.
- Sales estimates for the next fiscal years vary from one analyst to another. This clearly highlights a lack of visibility into the company's future activity.
Ratings chart - Surperformance
Chart ESG Refinitiv
Sector: Apparel & Accessories
1st Jan change | Capi. | Investor Rating | ESG Refinitiv | |
---|---|---|---|---|
-22.03% | 1.68B | B | ||
+7.99% | 422B | B | ||
+4.73% | 143B | - | A- | |
-28.67% | 45.92B | C | ||
+16.55% | 18.73B | A | ||
+15.45% | 10.64B | B | ||
+27.75% | 8.41B | C | ||
+0.96% | 6.83B | C- | ||
-9.08% | 6.41B | A- | ||
+29.34% | 6.32B | B |
Financials
Valuation
Momentum
Consensus
Business Predictability
Environment
Governance
Controversy
Technical analysis
- Stock Market
- Equities
- SFER Stock
- Ratings Salvatore Ferragamo S.p.A.