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Analysis Boral Ltd. (BOALF)

6/1/2024

Analysis Boral Ltd. (BOALF)

Analysis of Boral Ltd. (BOALF)

Boral Ltd. (BOALF) is showing a consistent price of 3.31 over the past few days. The Relative Strength Index (RSI) is low at 1.65, indicating an oversold condition. The Moving Average Convergence Divergence (MACD) is negative, suggesting a bearish trend.

On May 31st, the price increased to 3.60, with RSI rising to 2.79, still indicating a relatively oversold condition. The MACD also improved slightly but remained negative.

Overall, Boral Ltd. seems to be in a downtrend with oversold conditions. Traders may want to wait for more positive indicators before considering a bullish position.

Earnings

The company's results for the most recent quarter, ending on April 30, 2025, have not been provided at this time. The previous quarter's results, ending on February 27, 2025, were handled by the Transfer Agent. The results for the quarter ending on January 31, 2025, were released after hours. The results for the quarter ending on October 31, 2024, were not provided at this time. The results for the quarter ending on August 1, 2024, showed an earnings per share (EPS) estimate of 1.32.

Main Statystic 🧠

The data provided includes financials, stock statistics, valuation metrics, stock price summary, and dividends and splits information for a specific company.

In terms of financials, the company has strong operating cash flow and levered free cash flow, with a positive current ratio and a high total debt to equity ratio. The profit margin and operating margin are also healthy, indicating efficient operations. The company's fiscal year ends in September 2023, and it has shown a positive return on assets and return on equity.

Looking at stock statistics, the company has a low short ratio and a significant percentage of shares held by institutions. The stock price summary shows volatility with a beta of 1.264 and a fluctuation between the fifty-two-week low and high.

Valuation metrics reveal a high PEG ratio and price-to-book ratio, with the company being relatively expensive based on its trailing and forward P/E ratios. The enterprise value, market capitalization, and other ratios indicate the company's valuation in the market.

Lastly, dividends and splits information show the company's dividend history, payout ratio, and dividend yield. The company has a regular dividend payout and has undergone a stock split in the past.

Income statement 💸

Here are the revenue figures for the company over the past four fiscal years:

- 2020: $274,515,000,000
- 2021: $365,817,000,000
- 2022: $394,328,000,000
- 2023: $383,285,000,000

From these numbers, we can observe the following trends:
1. There was a significant increase in revenue from 2020 to 2021, indicating strong growth.
2. The revenue continued to grow in 2022, reaching the highest point in the given period.
3. In 2023, there was a slight decrease in revenue compared to the previous year, but it still remained higher than the 2021 figures.

Overall, the company has shown consistent growth in revenue over the past four years, with a slight dip in the most recent fiscal year.

Cash Flow 💶

This is the cash flow statement. Here are some conclusions we can draw from the data:

1. The company's free cash flow has been fluctuating over the years, with the highest value in 2022 and the lowest in 2020.
2. Operating cash flow has generally been increasing, indicating improved operational efficiency.
3. The company has been consistently paying interest and income taxes, with varying amounts each year.
4. The end cash position has also been fluctuating, reaching its highest value in 2020.
5. Financing activities show a pattern of common stock repurchase, issuance of long-term debt, and payment of dividends.
6. Investing activities include the sale and purchase of investments, as well as capital expenditures.
7. Overall, the company seems to be managing its cash flow effectively, with some fluctuations in key financial metrics over the years.

Earnings estimate

The analysts' estimates for future quarterly and annual earnings per share are as follows:

1. Current Quarter (as of June 30, 2024):
- Average Estimate: $1.23
- Low Estimate: $1.18
- High Estimate: $1.26
- Year Ago EPS: $1.17
- Number of Analysts: 27

2. Next Quarter (as of September 30, 2024):
- Average Estimate: $1.42
- Low Estimate: $1.33
- High Estimate: $1.51
- Year Ago EPS: $1.35
- Number of Analysts: 26

3. Current Year (as of September 30, 2024):
- Average Estimate: $6.10
- Low Estimate: $5.95
- High Estimate: $6.41
- Year Ago EPS: $5.67
- Number of Analysts: 40

4. Next Year (as of September 30, 2025):
- Average Estimate: $6.69
- Low Estimate: $5.92
- High Estimate: $7.31
- Year Ago EPS: $6.10
- Number of Analysts: 40

Based on these estimates, we can see a generally positive trend in the expected earnings per share both for the upcoming quarters and the next year. The average estimates are increasing, indicating potential growth in earnings for the company. It's also worth noting that the number of analysts providing estimates is relatively high, which may increase the reliability of these projections.

Revenue estimate

The analysts' estimates for the future quarterly and annual sales of the company indicate a moderate growth trend.

For the current quarter ending on June 30, 2024, the average estimate is $77,545,400,000, representing a 2% increase from the same period last year. The range of estimates is between $75,869,000,000 and $79,035,500,000, as provided by 25 analysts.

Looking ahead to the next quarter ending on September 30, 2024, the average estimate is $85,501,800,000, with a sales growth of 3% compared to the previous year. The estimates range from $81,634,900,000 to $91,144,800,000, based on 25 analysts' forecasts.

For the current fiscal year ending on September 30, 2024, the average estimate is $357,772,000,000, showing a 1% growth from the previous year. The estimates range from $350,189,000,000 to $364,505,000,000, provided by 38 analysts.

Looking further ahead to the next fiscal year ending on September 30, 2025, the average estimate is $380,772,000,000, indicating a 6% growth from the current fiscal year. The estimates range from $353,721,000,000 to $403,636,000,000, based on forecasts from 38 analysts.

Overall, the estimates suggest a steady growth trajectory for the company's sales in both the short term and the long term.

Growth estimates

Based on the consensus estimates provided by analysts, we can draw the following conclusions regarding the growth rate of the company for different periods:

1. Current Quarter: The estimated growth rate for the current quarter is 5.1%.
2. Next Quarter: The estimated growth rate for the next quarter is 5.2%.
3. Current Year: The estimated growth rate for the current year is 7.6%.
4. Next Year: The estimated growth rate for the next year is 9.7%.
5. Past 5 Years (per annum): The estimated average annual growth rate for the past 5 years is 20.1%.
6. Next 5 Years (per annum): The estimated average annual growth rate for the next 5 years is 9.7%.

These estimates suggest that the company is expected to experience a moderate growth rate in the near term, with a slightly higher growth rate projected for the next year. The past performance indicates a significantly higher growth rate, which may be challenging to sustain in the future. However, analysts still anticipate a healthy growth rate for the company over the next 5 years.

Price target

The analysts' forecast for the future price of the security paper is as follows:
- Low: $164
- High: $250
- Median: $200
- Average: $202.26
- Current price: $191.57
- Currency: USD

Based on these forecasts, we can see that the analysts have a range of opinions on the future price of the security paper, with the low end at $164, the high end at $250, and the average at $202.26. The current price is below both the average and median forecast, indicating a potential opportunity for growth according to the analysts' predictions.

Balance Sheet

These are balance sheets. Here are the conclusions:

1. The total assets have been increasing over the years, reaching $365,725,000,000 in 2018.
2. Current assets include cash, inventory, and receivables, with a significant portion in cash equivalents and short-term investments.
3. Non-current assets consist of leases, land, machinery, and investments.
4. Total liabilities have also been increasing, but at a slower pace compared to assets.
5. Shareholders' equity has shown fluctuations but has generally been positive.
6. The company has been investing in both current and non-current assets to support its operations and growth.
7. There is a mix of short-term and long-term liabilities, with a portion allocated for risks and charges.
8. Retained earnings have varied over the years, impacting the overall shareholders' equity.

MACD of BOALF

This is not investment advice. Remember to verify the information provided here.

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Contacts

Telephone number

+48 32 700 81 66

Email address

[email protected]

Company information

Honey Payment Group S.A. at Al. Aleje Jerozolimskie 65 / 79, 00-697 Warsaw, Poland, Register number KRS 0000335507, NIP 5252859204, REGON 388760204. Honey Payment Group is listed on the Warsaw Stock Exchange (WSE) under the ticker symbol HPG. Link