Ambev S.A. (ABEV) belonging to the Consumer Staples sector has declined -0.36% and closed its last trading session at $5.51.
The company reported its EPS on 03/02/2017. Currently, the stock has a 1 Year Price Target of $5.73.
The consensus recommendation, according to Zacks Investment research, is 2.5. The scale runs from 1 to 5 with 1 recommending Strong Buy and 5 recommending a Strong Sell.
The Stock had a 2.5 Consensus Analyst Recommendation 30 Days Ago, whereas 60 days ago and 90 days ago the analyst recommendations were 2.5 and 2.5 respectively.
Ambev S.A. on 03/02/2017 reported its EPS as $0.09 with the analysts projecting the EPS of the stock as $0.08. The company beat the analyst EPS Estimate with the difference of $0.01. This shows a surprise factor of 12.5%.
Many analysts have provided their estimated foresights on Ambev S.A. Earnings, with 4 analysts believing the company would generate an Average Estimate of $0.06.
Whereas they predicted High and Low Earnings Estimate as $0.06 and $0.06 respectively. While in the same Quarter Previous year, the Actual EPS was $0.04.
Analysts are also projecting an Average Revenue Estimate for Ambev S.A. as $3.57 Billion in the Current Quarter. This estimate is provided by 1 analysts.
For the Current Quarter, the growth estimate for Ambev S.A. is 50%, while for the Next Quarter the stock growth estimate is 0%.
In the past 5 years, the stock showed growth of -18.07% per annum. While for the next 5 years, the growth estimate is 3%.
The Company got Upgrade by JP Morgan on 10-Nov-16 from Neutral to Overweight.
8 analysts projected Price Targets for Ambev S.A.. The analysts believe that the company stock price could grow as high as $7. The Low Price target projection by analysts is $4.4 and the Mean Price Target is $5.73.
Ambev S.A. (ABEV) has the market capitalization of $86.51 Billion. The company rocked its 52-Week High of $6.34 on Oct 24, 2016 and touched its 52-Week Low of $4.7 on Dec 2, 2016.
The stock has Return on Assets (ROA) of 0 percent. Return on Equity (ROE) stands at 0% and Return on Investment (ROI) of 0 percent.
The stock is currently showing YTD performance of 12.22 Percent. The company has Beta Value of 0 and ATR value of 0.12. The Weekly and Monthly Volatility stands at 2.04% and 1.85%.