Index -
P/E -
EPS (ttm) -
Insider Own -
Shs Outstand 3.72B
Perf Week 8.77%
Market Cap 21.75B
Forward P/E 7.04
EPS next Y 0.83
Insider Trans -
Shs Float 2.02B
Perf Month 4.21%
Income 1.89B
PEG -
EPS next Q 0.18
Inst Own 0.54%
Short Float 0.08%
Perf Quarter 2.23%
Sales 31.14B
P/S 0.70
EPS this Y 38.39%
Inst Trans 0.23%
Short Ratio 3.43
Perf Half Y 10.48%
Book/sh 2.11
P/B 2.76
EPS next Y 21.31%
ROA 0.91%
Short Interest 1.58M
Perf Year 14.98%
Cash/sh -
P/C -
EPS next 5Y 7.80%
ROE 8.50%
52W Range 4.73 - 6.47
Perf YTD -8.41%
Dividend Est. 0.34 (5.77% )
P/FCF 4.43
EPS past 5Y -
ROI 2.51%
52W High -9.93%
Beta 1.08
Dividend TTM 0.30 (5.20% )
Quick Ratio -
Sales past 5Y 11.58%
Gross Margin -
52W Low 23.25%
ATR (14) 0.14
Dividend Ex-Date Apr 22, 2024
Current Ratio 0.70
EPS Y/Y TTM -
Oper. Margin 7.61%
RSI (14) 67.22
Volatility 2.63% 2.18%
Employees 55611
Debt/Eq 3.72
Sales Y/Y TTM 18.03%
Profit Margin 6.06%
Recom 2.64
Target Price 6.19
Option/Short Yes / Yes
LT Debt/Eq 2.19
EPS Q/Q -
Payout -
Rel Volume 0.68
Prev Close 5.74
Sales Surprise -1.47%
EPS Surprise 7.87%
Sales Q/Q 29.84%
Earnings Apr 30 BMO
Avg Volume 459.83K
Price 5.83
SMA20 9.32%
SMA50 6.08%
SMA200 4.29%
Trades
Volume 310,520
Change 1.57%
Date
Action
Analyst
Rating Change
Price Target Change
Oct-16-23 Initiated
Jefferies
Hold
$5.70
Nov-15-22 Downgrade
Barclays
Equal Weight → Underweight
$6 → $5
Nov-01-22 Downgrade
BofA Securities
Neutral → Underperform
Oct-28-22 Downgrade
Goldman
Neutral → Sell
Jan-24-22 Initiated
Barclays
Equal Weight
$6
Dec-15-21 Downgrade
Citigroup
Buy → Neutral
Jun-15-20 Downgrade
Goldman
Neutral → Sell
Nov-21-19 Upgrade
UBS
Sell → Neutral
Aug-27-19 Upgrade
Citigroup
Neutral → Buy
Aug-07-19 Upgrade
Morgan Stanley
Equal-Weight → Overweight
Jun-10-19 Initiated
Goldman
Neutral
Dec-11-18 Downgrade
HSBC Securities
Buy → Hold
Jun-12-18 Downgrade
Credit Suisse
Outperform → Neutral
Jun-07-18 Downgrade
JP Morgan
Overweight → Neutral
Mar-01-18 Downgrade
Citigroup
Neutral → Sell
Nov-01-17 Upgrade
JP Morgan
Neutral → Overweight
May-19-17 Upgrade
JP Morgan
Underweight → Neutral
May-02-17 Upgrade
BofA/Merrill
Underperform → Neutral
Apr-18-17 Upgrade
Credit Suisse
Neutral → Outperform
Apr-07-17 Upgrade
Citigroup
Sell → Neutral
Show Previous Ratings
Apr-30-24 10:53PM
Feb-26-24 04:49PM
Feb-01-24 11:42AM
Feb-28-23 06:04PM
Dec-09-22 07:45AM
05:04AM
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Oct-27-22 03:01PM
(American City Business Journals)
01:50PM
Oct-26-22 08:59AM
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12:57AM
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07:26AM
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(American City Business Journals) +9.93%
02:36PM
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03:40AM
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11:59AM
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Banco Santander (Brasil) SA engages in the provision of banking and financial services. It operates through Commercial Bank and Global Wholesale Banking segments. The Commercial Bank segment focuses on loans, cards, mortgages, consumer financing, payroll, agribusiness, micro credit, and corporate and private banking services. The Global Wholesale Banking segment offers financial services and structured solutions to its customers. The company was founded on August 9, 1985 and is headquartered in Sao Paulo, Brazil.
Index -
P/E 21.18
EPS (ttm) 0.78
Insider Own 0.00%
Shs Outstand 895.02M
Perf Week -6.16%
Market Cap 14.72B
Forward P/E 9.97
EPS next Y 1.65
Insider Trans -
Shs Float 895.01M
Perf Month -1.38%
Income 706.38M
PEG 2.25
EPS next Q 0.14
Inst Own 21.36%
Short Float 1.78%
Perf Quarter 13.21%
Sales 4.53B
P/S 3.25
EPS this Y 24.70%
Inst Trans 14.60%
Short Ratio 3.84
Perf Half Y 26.44%
Book/sh 5.01
P/B 3.28
EPS next Y 31.00%
ROA 9.32%
Short Interest 15.93M
Perf Year -1.91%
Cash/sh 0.72
P/C 22.70
EPS next 5Y 9.40%
ROE 16.71%
52W Range 10.31 - 18.97
Perf YTD 13.76%
Dividend Est. 0.51 (3.12%)
P/FCF 27.91
EPS past 5Y -
ROI 12.87%
52W High -13.26%
Beta 1.26
Dividend TTM 0.39 (2.39%)
Quick Ratio 0.60
Sales past 5Y 12.25%
Gross Margin 36.78%
52W Low 59.55%
ATR (14) 0.66
Dividend Ex-Date Mar 14, 2024
Current Ratio 1.15
EPS Y/Y TTM -2.51%
Oper. Margin 30.93%
RSI (14) 47.30
Volatility 3.38% 3.33%
Employees 6297
Debt/Eq 0.37
Sales Y/Y TTM 2.80%
Profit Margin 15.60%
Recom 3.50
Target Price 14.98
Option/Short Yes / Yes
LT Debt/Eq 0.23
EPS Q/Q -
Payout 39.95%
Rel Volume 0.51
Prev Close 16.38
Sales Surprise 0.68%
EPS Surprise 0.50%
Sales Q/Q -
Earnings Feb 22 BMO
Avg Volume 4.15M
Price 16.45
SMA20 -5.18%
SMA50 4.22%
SMA200 17.29%
Trades
Volume 2,117,808
Change 0.43%
Index -
P/E 11.08
EPS (ttm) 0.77
Insider Own 0.02%
Shs Outstand 632.59M
Perf Week -4.46%
Market Cap 5.42B
Forward P/E 7.42
EPS next Y 1.16
Insider Trans 0.00%
Shs Float 632.49M
Perf Month -0.23%
Income 480.17M
PEG -
EPS next Q -
Inst Own 31.27%
Short Float 2.11%
Perf Quarter 34.12%
Sales 3.16B
P/S 1.72
EPS this Y 102.75%
Inst Trans 13.67%
Short Ratio 2.11
Perf Half Y 89.18%
Book/sh 3.51
P/B 2.44
EPS next Y 32.83%
ROA 15.00%
Short Interest 13.32M
Perf Year 71.74%
Cash/sh 0.32
P/C 26.67
EPS next 5Y 0.00%
ROE 23.76%
52W Range 3.41 - 9.80
Perf YTD 39.35%
Dividend Est. 0.13 (1.50%)
P/FCF 16.56
EPS past 5Y -
ROI 20.34%
52W High -12.55%
Beta 1.76
Dividend TTM 0.12 (1.37%)
Quick Ratio 1.11
Sales past 5Y 14.60%
Gross Margin 26.58%
52W Low 151.32%
ATR (14) 0.38
Dividend Ex-Date Apr 11, 2024
Current Ratio 1.62
EPS Y/Y TTM 959.47%
Oper. Margin 23.55%
RSI (14) 50.05
Volatility 3.75% 4.21%
Employees 34913
Debt/Eq 0.08
Sales Y/Y TTM 19.36%
Profit Margin 15.21%
Recom 4.86
Target Price 6.62
Option/Short Yes / Yes
LT Debt/Eq 0.08
EPS Q/Q -
Payout 7.26%
Rel Volume 0.58
Prev Close 8.47
Sales Surprise -
EPS Surprise -
Sales Q/Q -
Earnings Feb 28 BMO
Avg Volume 6.31M
Price 8.57
SMA20 -3.91%
SMA50 8.24%
SMA200 49.64%
Trades
Volume 3,674,741
Change 1.18%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-19-24 Downgrade
HSBC Securities
Hold → Reduce
Dec-12-23 Downgrade
JP Morgan
Neutral → Underweight
Nov-14-23 Upgrade
HSBC Securities
Reduce → Hold
Oct-18-23 Downgrade
Morgan Stanley
Equal-Weight → Underweight
Sep-07-22 Downgrade
UBS
Buy → Neutral
Jun-23-21 Downgrade
Morgan Stanley
Equal-Weight → Underweight
Feb-21-19 Upgrade
JP Morgan
Underweight → Overweight
Aug-28-18 Downgrade
Macquarie
Neutral → Underperform
Oct-20-17 Downgrade
BofA/Merrill
Buy → Neutral
Oct-13-17 Downgrade
Deutsche Bank
Hold → Sell
Mar-17-17 Downgrade
Deutsche Bank
Hold → Sell
Nov-11-16 Downgrade
HSBC Securities
Buy → Hold
Nov-11-16 Downgrade
Citigroup
Neutral → Sell
Jul-12-16 Upgrade
JP Morgan
Neutral → Overweight
Jul-01-16 Upgrade
Macquarie
Underperform → Neutral
Mar-15-16 Downgrade
Macquarie
Neutral → Underperform
Sep-14-15 Downgrade
JP Morgan
Overweight → Neutral
Aug-08-13 Downgrade
HSBC Securities
Neutral → Underweight
Jul-15-13 Downgrade
BMO Capital Markets
Market Perform → Underperform
Apr-29-13 Reiterated
HSBC Securities
Overweight
$11.50 → $6.90
Show Previous Ratings
May-04-24 06:29AM
Apr-24-24 09:40AM
Apr-23-24 12:00PM
Apr-16-24 06:00AM
Apr-15-24 09:00AM
04:15PM
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Apr-05-24 01:56PM
Apr-02-24 02:47PM
Mar-31-24 12:03PM
Mar-24-24 08:10AM
Mar-14-24 09:40AM
Mar-06-24 01:30PM
Mar-01-24 09:29AM
Feb-29-24 10:25AM
Jan-31-24 02:01PM
02:28PM
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Nov-29-23 03:19AM
Nov-13-23 02:24PM
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Sep-16-23 08:34AM
Sep-13-23 06:43AM
Sep-12-23 05:11PM
Aug-31-23 05:52AM
Aug-30-23 01:41AM
(The Wall Street Journal)
Aug-25-23 04:53PM
Aug-23-23 01:39PM
Aug-13-23 10:02AM
Jul-28-23 11:39AM
Jul-17-23 09:31AM
06:10AM
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Harmony Gold Mining Co. Ltd. engages in mining and exploration of gold. It involves building mines, open-pit operation, sales and financial management, land rehabilitation, and mine closure. It operates through the following segments: Tshepong Operations, Moab Khotsong, Bambanani, Joel, Doornkop, Target 1, Kusasalethu, Masimong, Unisel, Mponeng, Mine Waste Solutions, and Hidden Valley. The company was founded on August 25, 1950 and is headquartered in Randfontein, South Africa.
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