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Analysis
Intercontinental Exchange, Inc. (ICE)
Intercontinental Exchange, Inc. (ICE)
Ranking:
Buy
Implies positive momentum
Stock Name: Intercontinental Exchange, Inc.
Symbol: ICE
Market Cap: $89.31B
Industry: Financial - Data & Stock Exchanges
Sector: Financial Services
Website: https://www.ice.com
About Intercontinental Exchange, Inc.

Intercontinental Exchange, Inc., together with its subsidiaries, operates regulated exchanges, clearing houses, and listings venues for commodity, financial, fixed income, and equity markets in the United States, the United Kingdom, the European Union, Singapore, Israel, and Canada. It operates through three segments: Exchanges, Fixed Income and Data Services, and Mortgage Technology. The company operates marketplaces for listing, trading, and clearing an array of derivatives contracts and financial securities, such as commodities, interest rates, foreign exchange, and equities, as well as corporate and exchange-traded funds; trading venues, including 13 regulated exchanges and 6 clearing houses; and offers futures and options products for energy, agricultural and metals, financial, cash equities and equity, over-the-counter, and other markets, as well as listings and data and connectivity services Please visit their website for more information.

Overview:
Last Close: $155.55
52 Week: $109.98-$166.90
MVA50: 159.08
MVA200: 146.03
RSI: 39.55
Buy/Sell*: 21.40
1-Month change: -2.57%
3-Month change: 4.86%
*Proprietary Buy Sell Volume Indicator
Price Chart For ICE
Financial Parameters Most Recent Quarter: (2024-Q3),2024-09-30
Revenue: $3.03B
Revenue Growth (YOY): 24.87%
Profit (% of Rev): 74.65%
Income (% of Rev): 21.66%
Income Growth (YOY): 21.44%
Operating Income: $1.10B
Operating Cash Flow: $898M
Operating Cash Flow Growth (YoY): 16.93%
Annual Dividend Yield: 0.28%
Total Assets: $135.20B
Total Liabilities: $107.93B
Cash & Equivalent: $2.00B
Total Debt: $21.52B
Debt/Equity: 0.78
Quick Ratio: 1.00
Current Ratio: 1.00
Price/Book: 3.39
Price/Earnings: 35.09
EBITDA: $1.53B
EPS: 1.14
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 Buy.

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