SharesGrow 7-Criteria Score
All 7 criteria scored · valuation-related highlighted on this page
AB Volvo (publ) (VOLVF) 当前追踪市盈率 (P/E) 为 2.1, 前瞻市盈率为 1.7. 追踪盈利收益率为 47.85%, 前瞻盈利收益率 60.24%. PEG 0.06 (Peter Lynch 低估标准 ≤1.0).
本页证实的标准:
- VALUE (100/100, 通过) — 市盈率低于市场平均水平 (2.1); PEG ≤ 1.0 — Peter Lynch 低估标准 (0.06); 盈利收益率超过债券收益率 (47.85%).
- 前瞻市盈率 1.7 (低于追踪值 2.1) — 分析师预计盈利将增长,这将改善估值。
- PEG 比率 0.06 — 低于1.0表明股票相对于其盈利增长率被低估(Peter Lynch 标准)。
- 追踪盈利收益率 47.85% — 超过典型债券收益率(约4.3%),使股票相对固定收益更具吸引力。 前瞻收益率改善至 60.24% 随着盈利恢复。
SharesGrow 综合评分: 76/100 其中 3/7 项标准通过。
SharesGrow 7-Criteria Score
✓
价值
100/100
Price-to-Earnings & upside
Proven by this page
~
健康
67/100
Debt-to-Equity & liquidity
→ Health
估值概览 — VOLVF
估值倍数
P/E (TTM)2.1
前瞻 P/E1.7
PEG 比率0.06
前瞻 PEG0.06
P/B 比率0.00
P/S 比率0.15
EV/EBITDA0.0
每股数据
EPS (TTM)$16.94
前瞻 EPS(预估)$21.30
每股账面价值$0.00
每股营收$235.70
每股自由现金流$0.00
收益率与内在价值
盈利收益率47.85%
Forward Earnings Yield60.24%
股息收益率0.00%
P/E Ratio & Earnings Yield
每股收益 (EPS) 历史
| Year |
EPS(稀释) |
营收 |
净利润 |
净利润率 |
| 2016 |
$6.47 |
$301.91B |
$13.15B |
4.4% |
| 2017 |
$10.07 |
$334.75B |
$20.48B |
6.1% |
| 2018 |
$12.25 |
$390.83B |
$24.9B |
6.4% |
| 2019 |
$17.64 |
$431.98B |
$35.86B |
8.3% |
| 2020 |
$9.50 |
$338.45B |
$19.32B |
5.7% |
| 2021 |
$16.12 |
$372.22B |
$32.79B |
8.8% |
| 2022 |
$16.09 |
$473.48B |
$32.72B |
6.9% |
| 2023 |
$24.51 |
$552.76B |
$49.83B |
9% |
| 2024 |
$24.79 |
$526.82B |
$50.39B |
9.6% |
| 2025 |
$16.94 |
$479.18B |
$34.46B |
7.2% |