SD

K&S AGWBO K&S Stock Report

Last reporting period 30 Jun, 2024

Updated —

Last price

Market cap $B

2.2

Small

Exchange

XWBO - Wiener Boerse AG

View Section: Eyestock Rating

K&S Fair Value

SD

The fair market value of SDF.VI stock is 0.12 EUR. Relative to the market price of 0 EUR K&S is overvalued by 98.9%

Eyestock's quantitative valuation approach is based on the method of estimating historical multipliers. To determine whether a stock is undervalued, we compare its current price to our estimated of fair value. The more undervalued a stock is, the more investment is profitable.

Fair Relative Value

K&S Valuation

The fair value level of 0.12 EUR can be considered as an effective entry point for long-term investors to start investing in SDF.VI stock. For a more in-depth assessment, we provide a minimum value that can be used to increase a stock position and a maximum one that can be used to reduce it.

Price chart is not available

1y
3y
5y
All time
Market price

Current market price

Fair value

Min value

Max value

02.11.2024

Market price:

* Eyestock is not operated by a broker, a dealer, or a registered investment adviser. Under no circumstances does any information posted on eyestock.io represent a recommendation to buy or sell a security.

SDF.VI stock is greatly overvalued

It means the current price may concern as a High Risk Entry Point

K&S AG Stock Valuation Calculator

How do we value a stock?

As fair value, we use the product of the median Price-to-earnings ratios at the end of each reporting period for the last 5 years and earnings per share for the last 12 months. By analogy with the fair value, we calculate the maximum and minimum ones using the corresponding P/E extremums.

1

Maximum P/E over 5 years

32.02

2

Median P/E over 5 years

2.92

3

Minimum P/E over 5 years

1.4

4

Earning per share (last 12 months)

0.04 EUR

Maximum value

1

x

4

=

1.34 EUR

Fair value

2

x

4

=

0.12 EUR

Minimum value

3

x

4

=

0.06 EUR

K&S AG price metrics

-3.38

Annual return (geometric mean)

45.91

Risk (standard deviation) of returns

β

0.36

Beta (volatility compared to market)

It means that SDF.VI stock is less volatile than the broader market

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View Section: Profitability