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Analysis
Broadridge Financial Solutions, Inc. (BR)
Broadridge Financial Solutions, Inc. (BR)
Ranking:
Sell
Implies negative momentum
Stock Name: Broadridge Financial Solutions, Inc.
Symbol: BR
Market Cap: $26.44B
Industry: Information Technology Services
Sector: Technology
Website: https://www.broadridge.com
About Broadridge Financial Solutions, Inc.

Broadridge Financial Solutions, Inc. provides investor communications and technology-driven solutions for the financial services industry. The company's Investor Communication Solutions segment processes and distributes proxy materials to investors in equity securities and mutual funds, as well as facilitates related vote processing services; and distributes regulatory reports, class action, and corporate action/reorganization event information, as well as tax reporting solutions. It also offers ProxyEdge, an electronic proxy delivery and voting solution; data-driven solutions and an end-to-end platform for content management, composition, and omni-channel distribution of regulatory, marketing, and transactional information, as well as mutual fund trade processing services; data and analytics solutions; solutions for public corporations and mutual funds; SEC filing and capital markets transaction services; registrar, stock transfer, and record-keeping services; and omni-channel customer communications solutions, as well as operates Broadridge Communications Cloud platform that creates, delivers, and manages communications and customer engagement activities Please visit their website for more information.

Overview:
Last Close: $226.21
52 Week: $174.24-$226.21
MVA50: 214.75
MVA200: 203.17
RSI: 67.63
Buy/Sell*: 59.96
1-Month change: 5.09%
3-Month change: 11.18%
*Proprietary Buy Sell Volume Indicator
Price Chart For BR
Financial Parameters Most Recent Quarter: (2025-Q1),2024-09-30
Revenue: $1.42B
Revenue Growth (YOY): -0.57%
Profit (% of Rev): 24.45%
Income (% of Rev): 5.61%
Income Growth (YOY): -12.21%
Operating Income: $134M
Operating Cash Flow: $-126M
Operating Cash Flow Growth (YoY): 102.42%
Annual Dividend Yield: 0.37%
Total Assets: $8.02B
Total Liabilities: $5.81B
Cash & Equivalent: $293M
Total Debt: $3.59B
Debt/Equity: 1.18
Quick Ratio: 1.39
Current Ratio: 1.39
Price/Book: 11.39
Price/Earnings: 78.75
EBITDA: $134M
EPS: 0.68
Our Approach

Our proprietary analysis employs a weighted average approach integrating both functional and technical parameters, tailored to the sector, industry, and microeconomic factors. This methodology assigns dynamic weights to the parameters, with a focus on recent trends, ensuring a nuanced evaluation for informed investment decisions. Considering all the above parameters, in addition to some of the derived parameters of the stock in conjunction with its sector and macroeconomic conditions, our proprietary Weighted Average AI model gives a rank of Sell.

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