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Asset logo for symbol ASH
Ashland Global Holdings
ASH51
$79.77arrow_drop_up0.85%$0.67
Asset logo for symbol ASH
ASH51

$79.77

arrow_drop_up0.85%

Performance History

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Key Stats
Open$79.44
Prev. Close$79.05
EPS3.95
Next Earnings DateDec 16, 2024
LOWHIGH
Day Range79.05
80.96
52 Week Range70.82
102.50
Ratios
EPS3.95

Score Breakdown

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Analyst Forecast

Period: Next 12 Months

Analyst Ratings

About Ashland Global Holdings (ASH)

Ashland Global Holdings Inc. (ASH) is a global specialty chemicals company that provides innovative solutions to a wide range of industries, including chemicals, agriculture, construction, and transportation. With a history dating back more than 100 years, Ashland has established itself as a leader in the market, known for its high-quality products and customer-focused approach.
One of the key strengths of Ashland is its diverse portfolio of products, which includes specialty chemicals, performance adhesives, and customized solutions. This broad range allows the company to serve a wide range of industries and meet the unique needs of its customers. Ashland's products are used in a variety of applications, such as automotive coatings, food packaging, and pharmaceuticals.
Sector
Basic Materials
Industry
Specialty Chemicals
CEO
Mr. Guillermo Novo
Headquarters
Wilmington
Employees
3900
Exchange
NYSE
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Frequently Asked Questions

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What is Ashland Global Holdings 's (ASH) price per share?

The current price per share for Ashland Global Holdings (ASH) is $79.77. The stock has seen a price change of $0.67 recently, indicating a 0.85% change. This reflects the stock's recent market performance and investor sentiment.
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What is the 52-week high and low for Ashland Global Holdings (ASH)?

For Ashland Global Holdings (ASH), the 52-week high is $102.5, which is 28.49% from the current price. The 52-week low is $70.82, the current price is 12.64% above the 52-week low. This gives investors an insight into the stock's volatility and price range over the past year.
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Is Ashland Global Holdings (ASH) a growth stock?

Ashland Global Holdings (ASH) has shown an average price growth of -3.36% over the past three years. It has received a score of 34 out of 100 based on the Stocklytics formula. The interpretation of this score in terms of classifying Ashland Global Holdings as a growth stock may vary, considering it is one of many factors investors might evaluate, including market trends, financial performance, and future prospects of the company.
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What is Ashland Global Holdings (ASH) stock price performance year to date (YTD)?

As of the latest data, Ashland Global Holdings (ASH) has a year-to-date price change of -4.7%. Over the past month, the stock has experienced a price change of -6.12%. Over the last three months, the change has been -9.97%. Over the past six months, the figure is -19.95%. Looking at a longer horizon, the five-year price change stands at 11.1%.
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Is Ashland Global Holdings (ASH) a profitable company?

Ashland Global Holdings (ASH) has a net income of $169M, which represents the company's total earnings after all expenses have been deducted from revenues. The gross margin of 23.33% indicates the percentage of revenue that exceeds the cost of goods sold, and the operating margin of 5.17% reflects the percentage of revenue remaining after covering variable production costs, highlighting the efficiency of the company's core operations. Total revenue stands at $2.11B, although specific revenue growth data is currently not available. The gross profit is $493M. Operating income is noted at -$26M. Furthermore, the EBITDA is $335M.
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What is the market capitalization of Ashland Global Holdings (ASH)?

Ashland Global Holdings (ASH) has a market capitalization of $3.76B. The average daily trading volume is 80, indicating the stock's liquidity and investor engagement.

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