Morgan Stanley analyst Vincent Andrews maintains $Olin (OLN.US)$ with a sell rating, and maintains the target price at $41.
According to TipRanks data, the analyst has a success rate of 64.3% and a total average return of 5.6% over the past year.
Furthermore, according to the comprehensive report, the opinions of $Olin (OLN.US)$'s main analysts recently are as follows:
An affordable valuation is counterbalanced by ongoing potential declines in earnings, with the observation that end-markets are still performing sluggishly. While China's limited stimulus measures offer some advantage, they are not sufficient to markedly improve Olin's operating rates.
The recent reduction in the firm's price expectation for Olin reflects the dissipation of optimism previously associated with 'Scott Sutton bump'. Currently, there appears to be no urgent reason to acquire the shares given the prevalent uncertainty, particularly with the anticipation of the investor day event in December.
Post-Q3 results, there is an expectation of a 'weaker' second-half EBITDA for the company, primarily due to the increased impact from Hurricane-related factors. Despite this, there remains a positive outlook on the company's prospects, with the belief that it holds 'strong leverage' to a demand recovery and presents minimal downside risk at its current trading levels.
Note:
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Success rate is the number of the analyst's successful ratings, divided by his/her total number of ratings over the past year. A successful rating is one based on if TipRanks' virtual portfolio earned a positive return from the stock. Total average return is the average rate of return that the TipRanks' virtual portfolio has earned over the past year. These portfolios are established based on the analyst's preliminary rating and are adjusted according to the changes in the rating.
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摩根士丹利分析師Vincent Andrews維持$歐林 (OLN.US)$賣出評級,維持目標價41美元。
根據TipRanks數據顯示,該分析師近一年總勝率為64.3%,總平均回報率為5.6%。
此外,綜合報道,$歐林 (OLN.US)$近期主要分析師觀點如下:
可承受的估值被持續潛在的收益下降所抵消,據觀察,終端市場表現仍然疲軟。儘管中國的有限刺激措施提供了一些優勢,但它們不足以顯著提高奧林的營業率。
該公司最近對奧林的價格預期的下調,反映了先前與 「斯科特·薩頓暴跌」 相關的樂觀情緒的消退。目前,鑑於普遍存在的不確定性,尤其是對12月投資者日活動的預期,似乎沒有緊迫的理由收購這些股票。
第三季度業績後,預計該公司下半年的息稅折舊攤銷前利潤 「疲軟」,這主要是由於颶風相關因素的影響越來越大。儘管如此,該公司的前景仍然樂觀,認爲其對需求復甦具有 「強勁的槓桿作用」,並且在目前的交易水平上下行風險微乎其微。
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