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Analysis
STMicroelectronics N.V. (STM)
STMicroelectronics N.V. (STM)
Ranking:
Sell
Implies negative momentum
Stock Name: STMicroelectronics N.V.
Symbol: STM
Market Cap: $23.99B
Industry: Semiconductors
Sector: Technology
Website: https://www.st.com
About STMicroelectronics N.V.

STMicroelectronics N.V., together with its subsidiaries, designs, develops, manufactures, and sells semiconductor products in Europe, the Middle East, Africa, the Americas, and the Asia Pacific. The company operates through Automotive and Discrete Group; Analog, MEMS and Sensors Group; and Microcontrollers and Digital ICs Group segments. The Automotive and Discrete Group segment offers automotive integrated circuits (ICs); and discrete and power transistor products. The Analog, MEMS and Sensors Group segment provides industrial application-specific integrated circuits (ASICs) and application-specific standard products (ASSPs); general purpose analog products; custom analog ICs; wireless charging solutions; galvanic isolated gate drivers; low and high voltage amplifiers, comparators, and current-sense amplifiers; MasterGaN, a solution that integrates a silicon driver and GaN power transistors in a single package; wireline and wireless connectivity ICs; touch screen controllers; micro-electro-mechanical systems (MEMS) products, including sensors or actuators; and optical sensing solutions Please visit their website for more information.

Overview:
Last Close: $26.86
52 Week: $25.96-$50.56
MVA50: 28.63
MVA200: 35.43
RSI: 43.78
Buy/Sell*: 16.59
1-Month change: -7.59%
3-Month change: -57.39%
*Proprietary Buy Sell Volume Indicator
Price Chart For STM
Financial Parameters Most Recent Quarter: (2024-Q3),2024-09-30
Revenue: $3.25B
Revenue Growth (YOY): -26.63%
Profit (% of Rev): 37.77%
Income (% of Rev): 10.80%
Income Growth (YOY): -67.80%
Operating Income: $351M
Operating Cash Flow: $723M
Operating Cash Flow Growth (YoY): -61.56%
Annual Dividend Yield: 0.30%
Total Assets: $25.52B
Total Liabilities: $7.71B
Cash & Equivalent: $3.08B
Total Debt: $3.12B
Debt/Equity: 0.18
Quick Ratio: 2.16
Current Ratio: 2.84
Price/Book: 1.53
Price/Earnings: 19.09
EBITDA: $872M
EPS: 0.39
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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