Ford Motor Company (F) Stock: A Review of Analyst Recommendations

Ford Motor Company (NYSE:F) has a superior price-to-earnings ratio that is 11. 82 times its average ratio, from its average ratio and a 36-month beta price of 1. 62. Analysts have combined revisions of the stock, with 7 analysts “buying,” 1 “overweight,” 11 “holding,” and four “selling. “

The average value forecast by analysts for Ford Motor Company (F) is $14. 77, $2. 3 more than the existing market value. The public loss for F is 3. 92 billion, and currently, short dealers have a proportion of 3. 99% of the average trading volume of this LooseArrayF. As of September 5, 2023, it was 54. 25 million shares.

Shares of Ford Motor Company (NYSE:F) are up 0. 08 from the last final value of 12. 13. Despite this, the company has recorded a 1. 93% increase in its percentage value during the last five trading sessions. Reuters reported on 09/04/ By 2023, Ford will postpone mass production of its long-awaited Explorer SUV styling for about six months at its Cologne headquarters until a new generation of Volkswagen batteries is available, its German leader said on Monday.

Ford Motor Company (F) saw its stock market run up 1. 93% for the week, down -7. 33% last month and down -2. 02% in the last quarter. The volatility index for the week is 1. 55% and the volatility levels for the last 30 days are 1. 95% for F. The undeniable moving average of the last 20 days is -0. 12% for the inventory of F, with an undeniable moving index of -3. 80%.

Many brokerage firms have already filed their F-share reports, and Jefferies re-rates the F-score as “Hold. “According to Jefferies, the projected value of the F for the next era is $15, according to the study report released July 31, 2023. of the existing year 2023.

After a market crash that took F to its lowest value for the last 52 weeks, the company has not recovered, settling for the moment with a loss of -21. 27% for the given period.

Volatility has remained at 1. 95%, however, over the past 30 days, volatility has increased to 1. 55%, with inventories falling by -5. 82% for the moving average over the past 20 days. However, in the last 50 days, the inventory is lately trading down -14. 45%.

Over the past five trading sessions, F is up 1. 93%, turning the 200-day moving average into -13. 66% from the 20-day moving average of $12. 12. In addition, Ford Motor Company recorded a reversal of 9. 67% in a single year. , with a tendency to extrapolate their gains.

The reports imply that there have been several insider trading in F, starting with FARLEY JR JAMES D, which sold 79,921 shares at a value of $12. 86 on March 3. Following this action, FARLEY JR JAMES D now owns 1,638,667 shares of Ford Motor Company. valued at $1,027,840 on the last final value.

Lawler John T. , vice president and chief financial officer of Ford Motor Company, sold 29,821 shares for $13. 07 in a March 3 transaction. Lawler John T. has 443,683 shares at $389,623 based on the recent closing price.

The company’s existing profitability is:

Ford Motor Company net margin -1. 25. The total price of return on capital is fixed at 3. 45, while the return on invested capital was controlled to reach -1. 46. The return on equities now stands at 9. 70, down from 1. 60. for assets.

According to Ford Motor Company (F), the company’s equity design generated 324. 86 percentage issues of general equity debt, while general equity debt is 76. 46. Total debt to assets is 54. 90, with a long-term debt-to-equity ratio of 207. 91. Finally, the long-term debt-to-equity ratio is 48. 94.

When we look at the company-to-revenue ratio, we see a ratio of 0. 85, with the company’s debt relative to the commercial price set at 0. 98. The company’s accounts receivable turnover is 3. 21 and the overall asset turnover is 0. 62. The liquidity ratio also looks attractive to investors as it amounts to 1. 20.

Simply put, Ford Motor Company (F) has had combined functionality lately. Analysts have a positive view of inventory, some seeing it as a “buy” and others as a “hold. “trading at a significant distance from its 50-day moving average and 52-week high.

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