Previous Close | 31.16 |
1-Year Change | -6.93% |
6-Months Change | -3.74% |
3-Months Change | -8.41% |
Moving Avg (50d) | 32.855 |
Moving Avg (200d) | 33.654 |
ESG Rating | - |
Exchange | NYSE |
Market Cap. | 7.27B |
Beta (3-Years) | 1.07 |
Revenue Growth (ttm) | 29.56% |
Net Profit Margin (ttm) | 3.86% |
Return On Assets (ttm) | 5.15% |
EPS (ttm) | 3.1 |
PE Ratio (ttm) | 10.05 |
Dividend Yield | 1.99% |
Asset Description: | BorgWarner Inc. |
Predicted Direction: | Buy |
Signal Strength: | Buy |
Forecast Date: | 2025-01-14 00:00:00 |
Strong Buy | ||
Buy | ||
Neutral | ||
Sell | ||
Strong Sell |
2% | 5% | 7% | 10% | 15% | 20% |
30.537 | 29.602 | 28.979 | 28.044 | 26.486 | 24.928 |
Disclaimer - Please note that the use of AI to analyse contents may occasionally generate incorrect information.
Our cutting-edge algorithms employ macroeconomic data, fundamental and technical analysis indicators to accurately predict the optimal position for short-term trading
By harnessing these signals, we power our asset allocation tools, backtesting tool and portfolio management process, ensuring maximum returns for your investments.