Market Closed -
Other stock markets
|
5-day change | 1st Jan Change | ||
155,300 JPY | +1.11% | +0.32% | -5.88% |
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 configuration.
Strengths
- The company's EBITDA/Sales ratio is relatively high and results in high margins before depreciation, amortization and taxes.
- The group's activity appears highly profitable thanks to its outperforming net margins.
- The company is one of the best yield companies with high dividend expectations.
- Over the last twelve months, the sales forecast has been frequently revised upwards.
Weaknesses
- As estimated by analysts, this group is among those businesses with the lowest growth prospects.
- The company's currently anticipated earnings per share (EPS) growth for the next few years is a notable weakness.
- One of the major weak points of the company is its financial situation.
- The company benefits from high valuations in earnings multiples.
- Based on current prices, the company has particularly high valuation levels.
- 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.
Ratings chart - Surperformance
Chart ESG Refinitiv
Sector: Diversified REITs
1st Jan change | Capi. | Investor Rating | ESG Refinitiv | |
---|---|---|---|---|
-5.88% | 4.66B | C | ||
-11.51% | 12.43B | B | ||
-8.36% | 7.92B | A | ||
-2.74% | 5.72B | A | ||
-0.48% | 5.45B | A | ||
-8.62% | 5.35B | A- | ||
+4.45% | 4.85B | A- | ||
+5.63% | 4.74B | C+ | ||
+5.20% | 3.95B | C | ||
-13.83% | 3.13B | C |
Financials
Valuation
Momentum
Consensus
Business Predictability
Environment
Governance
Controversy
Technical analysis
- Stock Market
- Equities
- 3462 Stock
- Ratings Nomura Real Estate Master Fund, Inc.