H.b. Fuller Stock Intrinsic Value – Investor Perception of H.B. Fuller ($FUL) Influenced by Price Changes

July 6, 2023

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Investor perception of H.B. ($NYSE:FUL) Fuller, a global adhesives and sealants manufacturer, is heavily influenced by changes in the price of the company’s stock (ticker symbol $FUL). The company’s broad portfolio of products are used in a variety of end markets, including construction, assembly, and consumer retail. Technical data is often used by investors to assess the value of a company’s stock. With H.B. Fuller, key indicators such as price/earnings (P/E) ratio, dividend yield, and earnings per share (EPS) are important in determining the company’s financial performance. For example, changes in the P/E ratio can indicate how investors perceive the company’s overall value and potential for future growth.

In addition, changes in EPS can provide insight into the company’s ability to generate profits and maintain a healthy dividend payout. By carefully assessing changes in H.B. Fuller’s technical data, investors can gain a better understanding of the company’s financial performance and make more informed decisions about investing in the company’s stock. Changes in the price of $FUL can also influence investor perception and ultimately determine the success of the company in the long term.

Share Price

On the day, the company’s stock opened at $71.1 and closed at $68.3, representing a decrease of 4.7% from the previous closing price of 71.6. Investors have responded to this sudden dip in stock prices, causing the investor sentiment to be negative. The market has also reacted negatively to the news, with analysts forecasting a further decline in the coming days. It is likely that the stock will remain volatile until there is more clarity on the direction of the company, which could be influenced by external market factors. Live Quote…

About the Company

  • Industry Classification
  • Key Executives
  • Ownership (Institutional/ Fund Holdings)
  • News Feed
  • Income Snapshot

    Below shows the total revenue, net income and net margin for H.b. Fuller. More…

    Total Revenues Net Income Net Margin
    3.61k 157.09 4.1%
  • Income Statement Reports (Yearly/ Quarterly/ LTM)
  • Income Supplement
  • Growth Performance
  • Cash Flow Snapshot

    Below shows the cash from operations, investing and financing for H.b. Fuller. More…

    Operations Investing Financing
    374.04 -265.81 -64.63
  • Cash Flow Statement (Yearly/ Quarterly/ LTM)
  • Cash Flow Supplement
  • Balance Sheet Snapshot

    Below shows the total assets, liabilities and book value per share for H.b. Fuller. More…

    Total Assets Total Liabilities Book Value Per Share
    4.62k 2.93k 31.23
  • Balance Sheet (Yearly/ Quarterly)
  • Balance Sheet Supplement
  • Key Ratios Snapshot

    Some of the financial key ratios for H.b. Fuller are shown below. More…

    3Y Rev Growth 3Y Operating Profit Growth Operating Margin
    9.0% 17.0% 9.5%
    FCF Margin ROE ROA
    6.4% 13.0% 4.7%
  • Income Statement Ratios
  • Balance Sheet Ratios
  • Cash Flow Ratios
  • Valuation Ratios
  • Other Ratios
  • Other Supplementary Items
  • Analysis – H.b. Fuller Stock Intrinsic Value

    At GoodWhale, we have conducted an in-depth analysis of the fundamentals of H.B. FULLER. Our proprietary Valuation Line has estimated the fair value of H.B. FULLER’s share to be around $68.2. We are therefore pleased to see that the stock is currently being traded at $68.3, which is an appropriate price for investors looking to take a long position in the company. More…

  • Risk Rating Analysis
  • Star Chart Analysis
  • Valuation Analysis




  • Peers

    H.B. Fuller Company competes with Essentra PLC, Ester Industries Ltd, and Balchem Corporation in the global adhesives market. The company has a strong product portfolio and offers a wide range of adhesives products for various applications. It has a strong research and development team that supports the company in developing new and innovative products. The company has a strong brand name and offers its products at competitive prices.

    – Essentra PLC ($LSE:ESNT)

    Essentra PLC is a multinational company that manufactures and sells small plastic and fibre products. Some of their products include cigarette filters, plastic caps and closures, and healthcare packaging. The company has a market cap of 636.57M as of 2022 and a Return on Equity of 5.25%.

    – Ester Industries Ltd ($BSE:500136)

    Ester Industries Ltd is a publicly traded company with a market capitalization of 14.81 billion as of 2022. The company has a return on equity of 23.17%. Ester Industries Ltd is engaged in the business of manufacturing and marketing of synthetic resins. The company has a strong presence in the Indian market with a market share of around 70%.

    – Balchem Corp ($NASDAQ:BCPC)

    Balchem Corporation, together with its subsidiaries, develops, manufactures, and markets specialty performance ingredients and products for the food, nutritional, feed, pharmaceutical, and medical sterilization industries in the United States and internationally. It operates in three segments: Specialty Products, Industrial Products, and Animal Nutrition & Health Products. The company was founded in 1967 and is headquartered in New Hampton, New York.

    Summary

    H.B. Fuller Company (FUL) has been under close scrutiny from investors in recent weeks due to the stock price movement. The share price has dropped in the last few days, leading many investors to question whether it is a good investment opportunity. Analysts have been analyzing the company’s financials and performance to identify potential opportunities and risks associated with investing in FUL. They have also been looking at the company’s operations and reviewing the competitive landscape to assess whether the stock is undervalued or overvalued.

    By taking into consideration factors such as its debt levels, earnings, and cash flow, investors can assess the potential risks and rewards of investing in FUL. Despite the recent drop in price, investors may still find FUL attractive as a long-term investment depending on their risk tolerance and risk/return expectations.

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