Ashland Global Holdings Inc.

68.75+1.63+2.43%Vol 344.81K1Y Perf -8.51%
Jun 2nd, 2020 16:00 DELAYED
BID37.72 ASK72.00
Open67.32 Previous Close67.12
Pre-Market- After-Market68.75
 - -%  - -%
Target Price
73.44 
Analyst Rating
Strong Buy 1.44
Potential %
6.82 
Finscreener Ranking
★★+     47.98
Insiders Trans % 3/6/12 mo.
-/100/-80 
Value Ranking
★★     47.80
Insiders Value % 3/6/12 mo.
-/100/37 
Growth Ranking
     37.72
Insiders Shares Cnt. % 3/6/12 mo.
-/100/37 
Income Ranking
★★     41.83
Market Cap4.14B 
Earnings Rating
Sell
Price Range Ratio 52W %
69.56 
Earnings Date
5th May 2020

Today's Price Range

67.1568.97

52W Range

38.8881.82

Summary:

Buy

Technical Indicators: Buy
Moving Averages: Strong Buy
Performance
1 Week
0.53%
1 Month
16.84%
3 Months
-2.11%
6 Months
-4.26%
1 Year
-8.51%
3 Years
1.93%
5 Years
-46.07%
10 Years
40.57%

TickerPriceChg.Chg.%
ASH68.751.63002.43
AAPL323.341.49000.46
GOOG1 439.227.40000.52
MSFT184.912.08001.14
XOM47.311.03002.23
WFC27.400.31001.14
JNJ148.251.06000.72
FB232.720.81000.35
GE7.050.29004.29
JPM98.930.33000.33
Financial StrengthValueIndustryS&P 500US Markets
0.90
1.70
0.36
0.72
-3.50
Leverage Ratio 2.20
ProfitabilityValueIndustryS&P 500US Markets
32.10
-16.40
-6.00
-2.90
-3.05
RevenueValueIndustryS&P 500US Markets
2.39B
39.58
-19.26
-15.37
DividendsValueIndustryS&P 500US Markets
1.64
1.10
-8.11
-7.46
Payout ratio269.00
Earnings HistoryEstimateReportedSurprise %
Q02 20200.840.840.00
Q01 20200.100.1330.00
Q04 20190.980.77-21.43
Q03 20190.770.770.00
Q02 20190.820.831.22
Q01 20190.110.1427.27
Q04 20180.980.97-1.02
Q03 20181.031.139.71
Earnings Per EndEstimateRevision %Trend
6/2020 QR0.56-37.08Negative
9/2020 QR0.61-40.78Negative
9/2020 FY2.15-24.30Negative
9/2021 FY3.02-14.45Negative
Next Report Date-
Estimated EPS Next Report0.84
Estimates Count4
EPS Growth Next 5 Years %10.70
Volume Overview
Volume344.81K
Shares Outstanding60.25M
Trades Count4.77K
Dollar Volume28.22M
Avg. Volume616.95K
Avg. Weekly Volume382.65K
Avg. Monthly Volume501.89K
Avg. Quarterly Volume619.69K

Ashland Global Holdings Inc. (NYSE: ASH) stock closed at 68.75 per share at the end of the most recent trading day (a 2.43% change compared to the prior day closing price) with a volume of 344.81K shares and market capitalization of 4.14B. Is a component of Russell 1000 indices and it is traded on NYSE exchange. The company belongs in the Chemicals industry, Basic Materials sector and employs 4700 people. Ashland Global Holdings Inc. CEO is Guillermo Novo.

The one-year performance of Ashland Global Holdings Inc. stock is -8.51%, while year-to-date (YTD) performance is -10.17%. ASH stock has a five-year performance of -46.07%. Its 52-week range is between 38.88 and 81.82, which gives ASH stock a 52-week price range ratio of 69.56%

Ashland Global Holdings Inc. currently has a PE ratio of 6.30, a price-to-book (PB) ratio of 1.36, a price-to-sale (PS) ratio of 1.70, a price to cashflow ratio of 19.80, a PEG ratio of 2.32, a ROA of -0.98%, a ROC of 0.62% and a ROE of -2.30%. The company’s profit margin is -3.05%, its EBITDA margin is -6.00%, and its revenue ttm is $2.39 Billion , which makes it $39.58 revenue per share.

Of the last four earnings reports from Ashland Global Holdings Inc., there were 1 positive earnings surprise and 1 negative earnings surprise. The company has EPS estimate of $0.84 for the next earnings report. Ashland Global Holdings Inc.’s next earnings report date is -.

The consensus rating of Wall Street analysts for Ashland Global Holdings Inc. is Strong Buy (1.44), with a target price of $73.44, which is +6.82% compared to the current price. The earnings rating for Ashland Global Holdings Inc. stock is Sell (calculated from actual period earnings estimates revision (80% weight) and previous period earnings surprise (20% weight)).

Ashland Global Holdings Inc. has a dividend yield of 1.64% with a dividend per share of $1.10 and a payout ratio of 269.00%.

Ashland Global Holdings Inc. has a Buy technical analysis rating based on Technical Indicators (ADX : 19.72, ATR14 : 2.40, CCI20 : 120.67, Chaikin Money Flow : 0.09, MACD : 2.72, Money Flow Index : 67.05, ROC : 16.39, RSI : 67.20, STOCH (14,3) : 95.63, STOCH RSI : 0.87, UO : 64.04, Williams %R : -4.37), Simple Moving Averages and Exponential Moving Averages.

Aggregated Insider Trades of Ashland Global Holdings Inc. in the last 12-months were: Anne T. Schumann (Option Excercise at a value of $139 072), Guillermo Novo (Buy at a value of $1 010 715), J. Kevin Willis (Option Excercise at a value of $410 451), J. Kevin Willis (Sold 3 060 shares of value $239 458 ), J. William Heitman (Option Excercise at a value of $92 485), J. William Heitman (Sold 799 shares of value $62 417 ), Keith C. Silverman (Option Excercise at a value of $305 386), Osama M. Musa (Option Excercise at a value of $724 258), Peter J. Ganz (Option Excercise at a value of $240 349), Peter J. Ganz (Sold 2 062 shares of value $161 171 ), Vito J. Consiglio (Option Excercise at a value of $636 745), William A. Wulfsohn (Option Excercise at a value of $1 381 124)

Analyst RatingsCurrent1 M ago3 M ago
Strong Buy
7 (77.78 %)
7 (77.78 %)
7 (77.78 %)
Moderate Buy
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Hold
2 (22.22 %)
1 (11.11 %)
1 (11.11 %)
Moderate Sell
0 (0.00 %)
0 (0.00 %)
0 (0.00 %)
Strong Sell
0 (0.00 %)
1 (11.11 %)
1 (11.11 %)
Summary RatingStrong Buy
1.44
Moderate Buy
1.67
Moderate Buy
1.67

Ashland Global Holdings Inc.

Ashland Global Holdings Inc manufactures and sells a variety of specialty chemicals. The company organizes itself into three segments based on product type. The Specialty Ingredients segment, which generates the most revenue of any segment, sells cellulose ethers, vinyl pyrrolidones, and biofunctionals. Segment customers include pharmaceutical companies and manufacturers of personal care products, food and beverages, paint, coatings, and construction materials. The Valvoline segment sells automotive lubricants and chemicals and operates a chain of repair shops and quick lube oil change stores under the Valvoline brand. The Performance Materials segment sells plastic resins to automotive suppliers and electronics producers. The majority of revenue comes from North America.

CEO: Guillermo Novo

Teplephone: +1 859 815-3333

Address: 50 East RiverCenter Boulevard, Covington 41011, KY, USA

Number of employees: 4 700

Bearish or Bullish?
WeekMonthThree MonthsSix Months

Bearish Bullish

50%50%

Bearish Bullish

57%43%

Bearish Bullish

71%29%

Bearish Bullish

49%51%

News

Stocktwits