可口可乐(KO)迎来二季度财报窗口期 业绩预期保持稳健

金吾财讯
Jul 27

金吾财讯 | 美股消费龙头可口可乐(KO)将于周二披露第二季度财报,市场重点关注公司在通胀抬升、燃油价格上涨、地缘政治动荡的宏观环境下,终端消费支出韧性与成本管控能力。华尔街一致预期,公司二季度每股收益为0.93美元,同比增长6.9%,营收同比增长5.4%,规模达到131.7亿美元。尽管外部宏观不确定性加剧、消费整体趋于谨慎,可口可乐仍在4月上调全年盈利目标,对饮品终端需求复苏抱有信心。

公司经营面临多重成本压力,依托分销商与装瓶商的区域化运营体系,企业易受供应链扰动、包装材料涨价影响,塑料瓶、铝罐等核心物料持续推高运营成本。不过管理层表示,茶叶、咖啡等大宗商品波动带来的成本影响整体可控,但地缘局势变化或改变当前成本预期。二级市场表现相对强势,自一季度财报落地后,公司股价累计涨幅超4%,年内整体涨幅突破18%,大幅跑赢标普500指数8%的同期涨幅。

市场对该股评级存在分歧,多数华尔街机构维持买入评级。机构分析认为,北美、欧洲夏季高温及各类赛事活动将带动内生销售增长,对冲燃油涨价带来的消费压制。同业百事可乐(PEP)则提示,燃油高企削弱美国冲动性消费,行业需求存在不确定性。此外,子公司Fairlife遭遇勒索软件攻击,叠加近三月盈利预期下调次数多于上调次数,成为公司短期潜在风险。历史数据显示,近两年公司每股收益超预期概率达100%,营收超预期概率为63%,业绩兑现能力整体稳健。

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