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AbbVie (ABBV) Declines More Than Market: Some Information for Investors
ZACKS· 2025-09-25 06:45
In the latest trading session, AbbVie (ABBV) closed at $219.99, marking a -1.18% move from the previous day. This change lagged the S&P 500's 0.29% loss on the day. Elsewhere, the Dow saw a downswing of 0.37%, while the tech-heavy Nasdaq depreciated by 0.34%. Heading into today, shares of the drugmaker had gained 6.84% over the past month, outpacing the Medical sector's loss of 0.33% and the S&P 500's gain of 3.08%.The upcoming earnings release of AbbVie will be of great interest to investors. The company's ...
AppLovin (APP) Falls More Steeply Than Broader Market: What Investors Need to Know
ZACKS· 2025-09-25 06:45
近期股价表现 - 在最新收盘日中,AppLovin股价下跌1.42%,报收641.92美元,表现逊于标普500指数0.29%的跌幅,道琼斯指数下跌0.37%,纳斯达克指数下跌0.34% [1] - 然而,该股在过去一个月内大幅上涨38.75%,表现远超同期下跌0.47%的商业服务板块和上涨3.08%的标普500指数 [1] 即将发布的季度业绩预期 - 市场对公司即将发布的财报高度关注,预计其每股收益为2.34美元,较去年同期大幅增长87.2% [2] - 同时,市场共识预期营收将达到13.4亿美元,同比增长11.7% [2] 全年财务预期 - 对于整个财年,市场共识预期每股收益为9.03美元,较上年增长99.34% [3] - 全年营收预期为55亿美元,同比增长16.89% [3] 估值指标分析 - 公司当前远期市盈率为72.11倍,显著高于其行业平均远期市盈率22.01倍,显示估值存在溢价 [7] - 公司的PEG比率为3.61倍,该指标同时考虑了公司的预期盈利增长率,也高于其行业平均PEG比率1.89倍 [7] 分析师评级与行业排名 - AppLovin目前拥有Zacks Rank 1的评级 [6] - 公司所属的技术服务行业是商业服务板块的一部分,其Zacks行业排名为76位,位于所有250多个行业的前31%分位 [8] - 研究显示,排名前50%的行业表现优于后50%的行业,优势比例达2比1 [8]
APA (APA) Increases Despite Market Slip: Here's What You Need to Know
ZACKS· 2025-09-24 07:16
In the latest trading session, APA (APA) closed at $23.99, marking a +1.61% move from the previous day. The stock outperformed the S&P 500, which registered a daily loss of 0.55%. Meanwhile, the Dow lost 0.19%, and the Nasdaq, a tech-heavy index, lost 0.95%. Shares of the oil and natural gas producer witnessed a gain of 5.59% over the previous month, beating the performance of the Oils-Energy sector with its gain of 1.1%, and the S&P 500's gain of 3.64%.Investors will be eagerly watching for the performance ...
Eli Lilly (LLY) Falls More Steeply Than Broader Market: What Investors Need to Know
ZACKS· 2025-09-24 06:46
Eli Lilly (LLY) closed at $746.98 in the latest trading session, marking a -1.06% move from the prior day. This change lagged the S&P 500's daily loss of 0.55%. On the other hand, the Dow registered a loss of 0.19%, and the technology-centric Nasdaq decreased by 0.95%. Prior to today's trading, shares of the drugmaker had gained 8.57% outpaced the Medical sector's loss of 0.2% and the S&P 500's gain of 3.64%.The upcoming earnings release of Eli Lilly will be of great interest to investors. The company's ear ...
Hims & Hers Health, Inc. (HIMS) Sees a More Significant Dip Than Broader Market: Some Facts to Know
ZACKS· 2025-09-24 06:46
近期股价表现 - 公司股价在最新收盘日下跌2.95%至56美元,表现逊于标普500指数(-0.55%)、道琼斯指数(-0.19%)和纳斯达克指数(-0.95%)[1] - 过去一个月公司股价大幅上涨34.22%,表现远超医疗行业(-0.2%)和标普500指数(+3.64%)[1] 近期业绩预期 - 市场预期公司即将公布的季度每股收益为0.09美元,较去年同期增长50% [2] - 市场预期公司即将公布的季度营收为5.8161亿美元,较去年同期增长44.84% [2] 全年业绩预期 - 市场预期公司全年每股收益为0.6美元,较上一年度大幅增长122.22% [3] - 市场预期公司全年营收为23.5亿美元,较上一年度增长58.91% [3] 估值指标 - 公司当前远期市盈率为96.47倍,显著高于其行业平均远期市盈率39.85倍 [7] - 公司当前市盈增长比率为3.9倍,高于其所属的医疗信息系统行业平均比率3.35倍 [8] 行业排名 - 公司所属的医疗信息系统行业在Zacks行业排名中位列第70位,处于所有250多个行业的前29% [8] - 该行业属于医疗板块 [8]
Vistra Corp. (VST) Falls More Steeply Than Broader Market: What Investors Need to Know
ZACKS· 2025-09-24 06:46
Vistra Corp. (VST) ended the recent trading session at $204.24, demonstrating a -6.28% change from the preceding day's closing price. This change lagged the S&P 500's daily loss of 0.55%. Meanwhile, the Dow lost 0.19%, and the Nasdaq, a tech-heavy index, lost 0.95%. Coming into today, shares of the company had gained 14.65% in the past month. In that same time, the Utilities sector lost 1.16%, while the S&P 500 gained 3.64%. The upcoming earnings release of Vistra Corp. will be of great interest to investor ...
ATI (ATI) Stock Sinks As Market Gains: Here's Why
ZACKS· 2025-09-23 07:15
ATI (ATI) closed the most recent trading day at $79.87, moving -1.07% from the previous trading session. This change lagged the S&P 500's daily gain of 0.44%. Meanwhile, the Dow gained 0.14%, and the Nasdaq, a tech-heavy index, added 0.7%. The maker of steel and specialty metals's shares have seen an increase of 9.52% over the last month, surpassing the Aerospace sector's gain of 4.93% and the S&P 500's gain of 4.03%.Analysts and investors alike will be keeping a close eye on the performance of ATI in its u ...
HudBay Minerals (HBM) Exceeds Market Returns: Some Facts to Consider
ZACKS· 2025-09-23 07:15
近期股价表现 - 公司股价在近期交易日报收于14.21美元,较前一交易日上涨2.38% [1] - 公司单日涨幅超过标普500指数的0.44%涨幅,也高于道琼斯指数0.14%和纳斯达克指数0.7%的涨幅 [1] - 公司股价在过去一个月内上涨17.83%,表现优于基础材料板块7.28%的涨幅和标普500指数4.03%的涨幅 [1] 近期及全年业绩预期 - 市场预计公司即将公布的季度每股收益为0.19美元,较去年同期大幅增长46.15% [2] - 市场预计公司季度营收为5.5833亿美元,较去年同期增长14.94% [2] - 对于全年业绩,市场共识预期公司每股收益为0.82美元,较去年增长70.83%,全年营收预计为22.8亿美元,较去年增长12.97% [3] 估值指标分析 - 公司远期市盈率为16.85倍,与其行业16.85倍的平均远期市盈率相比无显著差异 [7] - 公司市盈增长比率目前为0.33倍,显著低于其所属的杂项采矿行业1.06倍的平均水平 [7] 行业排名概况 - 公司所属的杂项采矿行业是基础材料板块的一部分,其Zacks行业排名为161位,在所有250多个行业中处于后35% [8]
Intel (INTC) Stock Sinks As Market Gains: Here's Why
ZACKS· 2025-09-23 06:46
近期股价表现 - 公司股价在近期交易时段收于28.76美元,较前一交易日下跌2.77% [1] - 公司股价表现落后于标普500指数(当日上涨0.44%)、道琼斯指数(当日上涨0.14%)和纳斯达克指数(当日上涨0.7%) [1] - 公司股价在过去一个月累计上涨19.27%,表现优于计算机与科技行业板块(上涨9.59%)和标普500指数(上涨4.03%) [1] 财务业绩预期 - 市场预计公司下一份财报的每股收益为0美元,较上年同期增长100% [2] - 市场预计公司下一财季营收为131.2亿美元,较上年同期下降1.26% [2] - 市场对公司全年的共识预期为每股收益0.15美元,营收522亿美元,分别较上年同期增长215.38%和下降1.69% [3] 估值指标 - 公司当前的远期市盈率为204倍,显著高于其行业平均远期市盈率39.71倍 [6] - 公司目前的市盈增长比率为28.57倍,远高于其所属的半导体-通用行业平均市盈增长率4.59倍 [6] 行业排名 - 公司所属的半导体-通用行业是计算机与科技板块的一部分 [7] - 该行业目前的Zacks行业排名为44,在所有250多个行业中位列前18% [7] - 研究显示,排名前50%的行业表现优于后50%的行业,优势比例约为2比1 [7] 分析师评级与预期 - 公司目前的Zacks排名为第3级(持有) [5] - 在过去30天内,市场的每股收益共识预期保持不变 [5]
3 Stocks To Buy From Alpha Picks/Pro Quant Portfolio (undefined:KGC)
Seeking Alpha· 2025-09-22 00:20
量化投资策略 - 采用GARP+策略 结合价值 增长 盈利能力 动量和EPS修正五大核心因子进行量化选股[8][10][22] - 系统每日分析约5000家公司 使用数学算法对比行业相对估值而非绝对估值[6][11][12] - 策略自2001年开发 2010年以来量化强烈买入评级组合每年跑赢标普500指数[23][24] 核心评估指标 - PEG比率为核心指标 结合PE比率和增长率 解决单一估值指标忽略增长的问题[14][17] - 采用学术字母评级系统 对价值 增长 盈利能力等因子进行A-F分级 直观显示行业相对位置[40][43][53] - 股息安全评级系统可预测派息持续性 B-以上评级公司自2010年以来98%未削减股息[56][57] 投资组合产品 - Alpha Picks每月提供2只选股 要求市值超5亿美元 股价高于10美元 三年累计收益240%对标标普74%[31][32][28] - Pro Quant Portfolio为30只股票组合 每周调整2-3只 无市值限制 含全球ADR 三个月收益40%对标标普6.83%[33][35][28] - 量化强烈买入组合五年收益265% 显著跑赢华尔街分析师53%的选股收益[27][28] 个股分析案例 - Kinross Gold(KGC)年涨140% 估值评级从D提升至C 毛利率62%远超行业29% 盈利能力A+[50][53][61] - CommScope(COMM)为数据中心提供基础设施 增长评级B 动量评级A+ 受益AI能源需求增长[63][65][66] - SSR Mining(SSRM)年涨272% 远期PE14倍低于行业16倍 PEG比率0.16较行业1.38折价88%[67][69][70] 市场环境应对 - 建议采用杠铃策略 一边配置高股息股票锁定当前收益率 一边配置中小盘股受益降息周期[74][75][77] - 美联储降息预期下 重点关注具备良好基本面 合理估值框架和增长动力的公司[89][90][91] - 量化系统每日更新评级 基于数据驱动而非主观判断 适应市场变化[85][86][87]