$5,016.43
arrow_drop_up0.51%Booking Holdings Inc (BKNG) shows strong fundamentals in a variety of key indicators. With a market cap of $119.35B and a price-to-sales ratio of 5.6, the company is positioned well within the industry. Additionally, BKNG has a solid return on equity of 225.74% and a net margin of 20.07%, showcasing its ability to generate profit efficiently. The company's revenue growth of 25.01% and earnings growth year over year of 40.26% further highlight its strong financial performance and potential for future growth. Furthermore, BKNG has a healthy free cash flow margin of 32.76% and a debt-to-equity ratio that seems to be omitted, indicating a strong financial position and efficient use of capital. The company's historical dividend yield average is not provided, but it does pay dividends, with the last split being 1:6 in 2003. With a shares outstanding of 34.17M, BKNG has been able to maintain a solid cumulative multiple of 0.2, demonstrating its ability to create value for shareholders over time.
Booking Holdings has demonstrated strong growth in gross bookings, which is a key indicator of the company's performance. The company has exceeded analyst expectations in Q4 FY2023, with revenue up 18.2% year over year to $4.78 billion. Booking Holdings has also shown a strong financial performance, with an ebitPerShare of 17.2977 and an fcfPerShare of 203.4732.
Booking Holdings' stock price has been volatile, with a significant decrease from 3790.23 to 3700.86 in the past weeks. The company's CFO, David Goulden, sold 500 shares in the company, which could be perceived as a sign of bearish sentiment. The travel industry is currently facing challenges due to the slowing demand growth in 2024, which could impact Booking Holdings' performance.
Booking Holdings Inc (BKNG) has a neutral technical rating and is currently showing indicators of potential selling pressure with two sell signals from the Commodity Channel Index (CCI) and Stochastic Relative Strength Index (STOCHRSI). However, there is also one buy signal from the Average True Range (ATR) indicator. The stock has a trailing annual dividend yield and last split was a 1:6 ratio in 2003, indicating a history of dividend payouts and stock split adjustments. With a market value score of 39 and technical buy indicators such as ATR, investors may want to closely monitor the stock's performance to make informed decisions on their investments. Furthermore, the stock has a beta of 1.41, suggesting that it is slightly more volatile than the overall market. The technical analysis also shows that the stock sector change in the past year was 28.86%, outperforming the stock market change by 33.10%. Additionally, the company has a technical hold indicator count of five indicators, including Relative Strength Index (RSI), Moving Average Convergence Divergence (MACD), Average Directional Index (ADX), Williams %R (WILLR), and Rate of Change (ROC). This combination of technical indicators and historical performance metrics can provide valuable insights for investors considering Booking Holdings Inc as a potential investment opportunity.
Based on the data provided, Booking Holdings Inc (BKNG) appears to be a solid investment opportunity. With a market value of $119.35B and a strong revenue growth rate of 25.01%, the company has shown significant potential for future growth. Additionally, Booking Holdings Inc boasts impressive financial metrics such as a return on equity of 225.74% and a net margin of 20.07%, indicating efficient management and profitability. Furthermore, the company's historical dividend yield average and insider ownership value reflect stability and investor confidence in the stock. In conclusion, Booking Holdings Inc is a company worth considering for investment. Its strong market dominance, solid financial performance, and positive analyst forecasts make it an attractive option for investors looking for long-term growth potential. However, investors should conduct further research and analysis to fully understand the company's competitive position within the industry and assess any potential risks before making an investment decision.