DWD:F:F-Morgan Stanley (EUR)

COMMON STOCK | Capital Markets |

Last Closing

USD 86.21

Change

0.00 (0.00)%

Market Cap

USD 142.69B

Volume

200.00

Analyst Target

N/A
Analyst Rating

Verdict

ducovest Verdict

Verdict

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Unadjusted Closing Price

Adjusted Closing Price

Share Volume

Relative Performance (Total Returns)

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Relative Returns (From:    To: 2024-04-28 )

Largest Industry Peers for Capital Markets

Symbol Name Price(Change) Market Cap
GOS:F The Goldman Sachs Group Inc

+3.20 (+0.76%)

USD 134.36B
SWG:F The Charles Schwab Corporation

-1.40 (-1.99%)

USD 127.32B
GOS0:F GOLDMANN SACHS GROUP CDR

N/A

USD 123.18B
4M4:F Macquarie Group Limited

-0.42 (-0.36%)

USD 43.39B
CI9:F CITIC Securities Company Limit..

-0.03 (-1.97%)

USD 33.85B
RJF:F Raymond James Financial Inc

+1.00 (+0.87%)

USD 24.14B
7LI:F LPL Financial Holdings Inc

-2.00 (-0.81%)

USD 18.85B
NSEA:F Nomura Holdings Inc

-0.05 (-0.98%)

USD 16.48B
NSE:F Nomura Holdings Inc

-0.02 (-0.35%)

USD 15.75B
195H:F China Merchants Securities Co...

N/A

USD 15.38B

ETFs Containing DWD:F

N/A

Market Performance

  Market Performance vs. Industry/Classification (Capital Markets) Market Performance vs. Exchange
  Value Sector Median Percentile Rank Grade Market Median Percentile Rank Grade
YTD  
Capital Gain 1.99% 46% F 54% F
Dividend Return 1.01% 45% F 33% F
Total Return 2.99% 45% F 52% F
Trailing 12 Months  
Capital Gain 6.16% 52% F 59% D-
Dividend Return 3.14% 35% F 34% F
Total Return 9.30% 47% F 56% F
Trailing 5 Years  
Capital Gain 99.56% 75% C 87% B+
Dividend Return 21.74% 59% D- 62% D
Total Return 121.30% 61% D- 78% C+
Average Annual (5 Year Horizon)  
Capital Gain 23.17% 82% B 90% A-
Dividend Return 26.12% 77% C+ 86% B+
Total Return 2.95% 64% D 64% D
Risk Return Profile  
Volatility (Standard Deviation) 38.38% 35% F 26% F
Risk Adjusted Return 68.07% 95% A 90% A-
Market Capitalization 142.69B 100% F 99% N/A

Annual Financials (EUR)

Quarterly Financials (EUR)

Analyst Rating

Target Price Action Rating Action Analyst Rating Price Date

This is a composite scorecard based on the application of evaluation criteria deemed most important by analysts. This is not a buy or sell recommendation.

What to like:
Superior risk adjusted returns

This stock has performed well, on a risk adjusted basis, compared to its sector peers(for a hold period of at least 12 months) and is in the top quartile.

High dividend returns

The stock has outperformed its sector peers on average annual dividend returns basis in the past 5 years (for a hold period of at least 12 months) and is in the top quartile. This can be a good buy, especially if it is outperforming on total return basis , for investors seeking high income yields.

High market capitalization

This is one of the largest entities in its sector and is among the top quartile. Such companies tend to be more stable.

What to not like:
Highly leveraged

The company is in the bottom half compared to its sector peers on debt to equity and is highly leveraged. However, do check the news and look at its sector and management statements. Sometimes this is high because the company is trying to grow aggressively.

Poor return on assets

The company management has delivered below median return on assets in the most recent 4 quarters compared to its peers.

Overpriced compared to book value

The stock is trading high compared to its peers median on a price to book value basis.

Overpriced compared to earnings

The stock is trading high compared to its peers on a price to earning basis and is above the sector median.

High volatility

The total returns for this company are volatile and above median for its sector over the past 5 years. Make sure you have the risk tolerance for investing in such stock.

Negative cashflow

The company had negative total cash flow in the most recent four quarters.

Low Earnings Growth

This stock has shown below median earnings growth in the previous 5 years compared to its sector

Low Revenue Growth

This stock has shown below median revenue growth in the previous 5 years compared to its sector