异动解读 | Spectrum Brands Holdings股价盘中大跌8.27%,季度业绩远低于预期

异动解读
08 May

周四盘中,Spectrum Brands Holdings(股票代码:SPB)股价大跌8.27%,主要原因是公司公布的季度业绩远低于分析师预期。

根据最新发布的财报,Spectrum Brands Holdings截至3月31日的季度调整后每股收益仅为0.68美元,远低于分析师平均预期的1.40美元,也显著低于去年同期的1.62美元。公司营收同比下降6%,至6.757亿美元,同样未能达到分析师预期的6.9529亿美元。这一疲软的业绩表现直接导致了投资者信心的动摇,引发了股价的大幅下跌。

值得注意的是,Spectrum Brands Holdings的股价在本季度已经下跌了13.5%,今年迄今为止更是累计下跌了26.8%,显示出公司面临持续的经营压力。尽管如此,分析师对该公司的平均评级仍维持在"买入",其中6个为"强烈买入"或"买入",4个为"持有",没有"卖出"或"强烈卖出"的评级。分析师给出的12个月目标价中位数为103.50美元,这可能为投资者提供了一些长期信心。然而,考虑到公司当前的业绩表现,投资者可能需要谨慎评估其短期投资风险。

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