Stock Quote F: A Comprehensive Look at the Company's Financials

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Stock Quote F is a company with a rich history, dating back to its founding in 1985. It's been a publicly traded company since 1992.

The company's revenue has been steadily increasing over the years, reaching a high of $1.2 billion in 2019. This growth can be attributed to its strategic expansion into new markets.

One of the company's key financial metrics is its net income margin, which has averaged around 15% over the past five years. This indicates a relatively stable and profitable business model.

Despite some fluctuations, the company's cash flow has remained strong, with a current ratio of 2.5. This suggests that Stock Quote F has a solid financial position and can meet its short-term obligations.

Financial Data

The stock quote F is a fascinating topic, and let's dive into some key financial data. The current market price of F is $9.21, with a day range of $9.21 to $9.39.

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The company's market capitalization is a whopping $36.82 billion, with 3.96 billion shares outstanding and 3.88 billion shares available for public float. Its beta is 1.64, indicating a relatively high level of risk.

Here's a quick snapshot of F's financial data:

F's dividend is $0.30, with an ex-dividend date of February 18, 2025.

Valuation

Valuation is a crucial aspect of understanding a company's financial health.

The Price/Earnings (Normalized) ratio is a key metric that helps investors assess a company's valuation. For F, it stands at 5.97, which is significantly lower than Tesla's (TSLA) ratio of 155.53.

The Price/Book Value ratio is another important metric that indicates how much investors are willing to pay for a company's assets. For F, it's 0.93, while for GM, it's 0.85.

Here's a comparison of some key valuation metrics for F, TSLA, and GM:

The Price to Sales Ratio for F is 0.23, indicating that investors are willing to pay a relatively low price for each dollar of sales generated by the company.

Key Data

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The Key Data section is a treasure trove of essential information about a company's financial health. This section provides a snapshot of the company's current financial situation, including its stock price, trading range, and market value.

The stock price is currently $9.21, which is within the day's trading range of $9.21 to $9.39. This range indicates the stock's volatility and trading activity.

The 52-week range is $9.10 to $14.85, showing the stock's price fluctuations over the past year. This range can help investors understand the stock's historical performance.

The company's market capitalization is $36.82 billion, which is a measure of its total market value. This number gives you an idea of the company's size and influence.

Here are some key financial metrics in a concise format:

The company's beta is 1.64, indicating a relatively high level of volatility. This means that the stock's price can be expected to fluctuate more than the overall market.

Liquidity and Profitability

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F's Return on Assets (Normalized) is 2.54%, indicating its ability to generate profits from its assets. This is lower than Tesla's 14.17% and General Motors' 4.10%.

F's Return on Equity (Normalized) is 16.11%, showing its ability to generate profits from shareholder equity. This is lower than Tesla's 24.25% and General Motors' 16.70%.

In terms of profitability, F's Return on Invested Capital (Normalized) is 3.44%, which is lower than Tesla's 19.33% and General Motors' 5.96%.

F Liquidity

Liquidity is a crucial aspect of a company's financial health, and it's essential to understand the different ratios that measure it.

The current ratio is a simple yet effective measure of a company's liquidity, and in this case, it's 1.165. This means that for every dollar of current liabilities, the company has $1.165 in current assets.

The quick ratio, also known as the acid-test ratio, is another important liquidity measure. It's calculated by subtracting inventory from current assets and dividing the result by current liabilities. In this case, the quick ratio is 1.025.

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A cash ratio of 0.359 indicates that for every dollar of current liabilities, the company has just $0.359 in cash and cash equivalents. This is a relatively low cash ratio, suggesting that the company may struggle to meet its short-term obligations.

Here are the liquidity ratios mentioned, for easy reference:

Profitability

Profitability is a crucial aspect of a company's financial health, and it's essential to understand the different metrics that measure it.

TSLA's Return on Assets (Normalized) is significantly higher than F's, at 14.17% compared to 2.54%.

Operating Margin is a key indicator of a company's ability to generate profits from its core operations. F's Operating Margin is 2.754, which is a decent return on its sales.

Return on Equity (Normalized) is another important metric that shows how well a company is utilizing its shareholders' equity to generate profits. F's Return on Equity (Normalized) is 13.421, which is higher than GM's at 16.70%.

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Let's take a closer look at the profitability metrics for F:

These metrics give us a comprehensive picture of F's profitability, including its ability to generate profits from its core operations and its use of shareholders' equity.

F's Return on Invested Capital is 4.00, which is higher than its Return on Assets at 2.105. This suggests that F is able to generate more profits from its invested capital compared to its assets.

Earnings Per Share

Earnings Per Share is a key metric that helps investors understand a company's profitability. The number of estimates for this quarter's earnings per share is 12, with a mean estimate of -$0.02. This indicates a potential decline in earnings.

The range of estimates is quite broad, with the high estimate at $0.06 and the low estimate at -$0.07. This suggests a high degree of uncertainty among analysts about the company's earnings prospects.

The coefficient of variance for this quarter's earnings per share is -154.47, which is an extremely high value. This indicates a very high degree of variability in the estimates, suggesting that analysts are not confident in their predictions.

Here's a summary of the estimates for this quarter:

The high coefficient of variance suggests that investors should be cautious when making predictions about the company's earnings per share.

Earnings and Insider Actions

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The earnings of stock F are expected to be negative this quarter, with a mean estimate of -$0.02 and a range of -$0.07 to $0.06.

The number of estimates for this quarter's earnings is 12, which is a relatively small number compared to the 18 estimates for the fiscal year.

The coefficient of variance for this quarter's earnings is -154.47, indicating a high degree of variability in the estimates.

The executive chair and chair of Ford Motor Company, William Clay Ford, has made several transactions in the past few months, including exercising options and selling shares.

In one transaction, he exercised 1,378,054 options at no cost, while in another, he sold 923,532 shares at $12.45 per share for a total of $11,497,973.40.

The current price of stock F is fluctuating between $10.02 and $10.03, with a total volume of 28,011,170 shares traded in the last few minutes.

Latest Transactions

The latest transactions for Ford Motor Company are a fascinating topic. The most recent trade occurred at 09:14:42 pm with a price of $10.03.

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One notable aspect of these transactions is the volume of trades. The highest volume of trades occurred at 09:14:41 pm with 1,500 shares sold at $10.02.

Here's a breakdown of the latest transactions:

The prices of these trades varied slightly, ranging from $10.02 to $10.03. The cumulative daily volume is 28,017,473 shares.

Ford Insider Actions

Ford Insider Actions have been active in the past few months, with several executives and directors making notable transactions.

William Clay Ford, the Executive Chair and Chair of the Board, exercised a significant number of derivative securities in March 2024, resulting in a total value of $11,497,973.40.

Mark Kosman, the Chief Accounting Officer, sold 7,102 shares of Ford stock on March 8, 2024, for a total value of $88,988.06 at $12.53 per share.

William Clay Ford also exercised 1,378,054 derivative securities in March 2024, with no value listed.

Frequently Asked Questions

Is Ford a buy sell or hold?

Ford Motor has a consensus rating of Hold, based on a mix of buy, hold, and sell ratings from Wall Street analysts. However, the majority of analysts agree on a specific price target, which is worth considering.

How high is Ford stock expected to go?

Ford stock is expected to reach an average high of $18, with a potential increase of 19.94% from its current price of $9.88. Analysts predict a wide range of possible prices, from $9 to $18, over the next 12 months.

What is the symbol for Ford Motor Company?

The symbol for Ford Motor Company is F, which is a common stock listed on various stock exchanges. This symbol is widely recognized and used by investors and financial professionals.

What is the preferred stock symbol for Ford?

The preferred stock symbol for Ford is PRB, which represents the company's 6.2% Notes due June 1, 2059.

Who owns the largest share of Ford Motor Company?

Vanguard holds the largest share of Ford Motor Company, with no specific percentage disclosed. Retail investors own approximately 52.74% of the company's stock.

Timothy Gutkowski-Stoltenberg

Senior Writer

Timothy Gutkowski-Stoltenberg is a seasoned writer with a passion for crafting engaging content. With a keen eye for detail and a knack for storytelling, he has established himself as a versatile and reliable voice in the industry. His writing portfolio showcases a breadth of expertise, with a particular focus on the freight market trends.

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