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Analysis Eurotech S.p.A. (0E7Z)

6/2/2024

Analysis Eurotech S.p.A. (0E7Z)

Analysis of Eurotech S.p.A. (0E7Z)

Eurotech S.p.A. is showing some interesting technical indicators based on the provided data.

1. RSI Indicator: The Relative Strength Index (RSI) is currently at 32.04, indicating that the stock is in the oversold territory. This could suggest a potential buying opportunity for traders.

2. MACD Indicator: The Moving Average Convergence Divergence (MACD) is showing a positive value of 0.038, with the MACD line crossing above the signal line. This could be a bullish signal for the stock.

3. Moving Averages: The Simple Moving Average (SMA) and Exponential Moving Average (EMA) are both showing values above the closing price, indicating a potential uptrend in the stock.

Overall, based on the RSI, MACD, and Moving Averages, Eurotech S.p.A. could be signaling a potential buying opportunity for traders looking for a short-term bullish move in the stock. However, it is important to consider other factors and conduct further analysis before making any investment decisions.

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 quarter before that, ending on January 31, 2025, had results released after hours. The results for the quarter ending on October 31, 2024, were not provided at the time. However, for the quarter ending on August 1, 2024, the company reported 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 a 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 a beta value, moving averages, and the range of the stock price over the past year.

Valuation metrics reveal the company's price-to-earnings ratios, price-to-book ratio, price-to-sales ratio, and other key financial indicators. The market capitalization and enterprise value provide insights into the company's overall value in the market.

Lastly, the dividends and splits information includes details about dividend rates, payout ratios, dividend dates, and historical split factors. This data gives investors an overview of the company's dividend policy and history.

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 that the company has experienced a steady increase in revenue from 2020 to 2022, with a slight decrease in 2023. This trend indicates a general growth in the company's top line over the past few years, although there was 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 recorded in 2022 and the lowest in 2020.
2. Operating cash flow has generally been increasing year over year, 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's financial performance seems to be stable, with some fluctuations in key financial metrics over the years.

Earnings estimate

Based on the analysts' estimates for future quarterly and annual earnings per share (EPS), we can draw the following conclusions:

1. For the current quarter ending on June 30, 2024, the average EPS estimate is $1.23, with a low estimate of $1.18 and a high estimate of $1.26. This represents an increase from the EPS of $1.17 reported a year ago.

2. For the next quarter ending on September 30, 2024, the average EPS estimate is $1.42, with a low estimate of $1.33 and a high estimate of $1.51. Comparing to the EPS of $1.35 from a year ago, this indicates growth.

3. Looking at the estimates for the current year ending on September 30, 2024, the average EPS estimate is $6.10, ranging from $5.95 to $6.41. This shows an improvement from the EPS of $5.67 reported in the previous year.

4. For the next year ending on September 30, 2025, analysts project an average EPS of $6.69, with a low estimate of $5.92 and a high estimate of $7.31. This forecast suggests a growth compared to the EPS of $6.10 for the current year.

Overall, the analysts' estimates indicate a positive outlook for the company's earnings per share, with expected growth in both the short term and the long term.

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, with a sales growth of 2% compared to the same period last year. The number of analysts providing estimates is 25.

Looking at the next quarter ending on September 30, 2024, the average estimate increases to $85,501,800,000, with a sales growth of 3% compared to the previous year. Again, 25 analysts have contributed to these estimates.

For the current fiscal year ending on September 30, 2024, the average estimate for total revenue is $357,772,000,000, showing a 1% growth from the previous year. The number of analysts providing estimates for the annual sales is 38.

In the following fiscal year ending on September 30, 2025, the average estimate for total revenue is projected to be $380,772,000,000, indicating a more significant growth of 6% compared to the current fiscal year. The number of analysts remains at 38.

Overall, the estimates suggest a steady growth trajectory for the company's sales in both the short term and the long term, with the highest growth rate expected in the next fiscal year.

Growth estimates

Based on the consensus estimates provided:
- The current year growth rate is 7.6%
- The next quarter growth rate is 5.1%
- The current quarter growth rate is 5.1%
- The next year growth rate is 9.7%
- The average annual growth rate for the next 5 years is 9.7%
- The average annual growth rate for the past 5 years is 20.1%

It can be observed that the company is expected to experience a significant increase in growth rate from the past 5 years to the next 5 years, with a substantial decrease in growth rate in the current and next quarter compared to the annual estimates.

Price target

Based on the analysts' forecast, the future price of the security is expected to range between $164 (low) and $250 (high), with a median estimate of $200 and an average estimate of $202.26. The current price of the security is $191.57.

Balance Sheet

These are balance sheets. Here are the conclusions based on the provided data:

1. The total assets have been increasing over the years, reaching the highest value in 2023 at $352,583,000,000.
2. Current assets fluctuate slightly from year to year, with the highest value in 2019 at $162,819,000,000.
3. Non-current assets have been increasing steadily, with the highest value in 2023 at $209,017,000,000.
4. Total liabilities have also been increasing, reaching the highest value in 2023 at $290,437,000,000.
5. Shareholders' equity has been fluctuating, with the highest value in 2020 at $65,339,000,000.
6. The company seems to be investing more in non-current assets over the years, which might indicate long-term growth strategies.
7. The increase in total liabilities suggests that the company is relying more on external funding sources.
8. The fluctuations in shareholders' equity indicate changes in the company's retained earnings and other equity components over the years.

MACD of 0E7Z

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