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Fair Value Uncertainty (FINBOX) for Aryzta AG

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ARYN: Aryzta AG

ARYZTA AG provides products and services for in-store bakery solutions in Europe and internationally. The company offers pastries, cookies, buns, breads, rolls, artisan loaves, sweet baked goods, morn...

2.02 CHF
Price
CHF
Fair Value
Upside
1.44 - 2.03
52-week range

Analysis

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Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on Aryzta AG's Fair Value Uncertainty (FINBOX):

  • Aryzta's fair value uncertainty is Low

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Metric Usage: Fair Value Uncertainty

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fair_value_uncertainty
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text
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Free
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To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

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Metrics similar to Fair Value Uncertainty (FINBOX) in the predictions category include:

  • DDM Fair Value - Our estimate of fair value for a company using various dividend discount models.
  • Predicted Price / Book - Our estimate of the fair value Price / Book for a company.
  • Comps Fair Value Upside - Our estimate of fair value upside for a company using various comparable company analysis methods.
  • Fair Value Label - Fair Value label assigned based on the percentage upside when compared to internal fair value estimate. Value is one of UNAVAILABLE, BARGAIN, UNDERVALUED, FAIR, OVERVALUED, or EXPENSIVE
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Fair Value Uncertainty

Represents the uncertainty rating we have assigned to our Fair Value estimate.

Definition of Fair Value Uncertainty (FINBOX)

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Fair Value Uncertainty represents the uncertainty rating we have assigned to the Fair Value estimate.

Each estimate is deemed to have an uncertainty level of:

  • Low Uncertainty when the company has low price volatility, positive profit margins, and the fair value estimate is derived from a high number of valuation models.

  • Medium Uncertainty when the company has medium price volatility, predictable profit margins, and the fair value estimate is derived from a medium number of valuation models.

  • High Uncertainty when the company has medium to high price volatility, negative profit margins, and the fair value estimate is derived from few valuation models.

  • Very High Uncertainty when the company has high price volatility, volatile profit margins, and the fair value estimate is derived from few valuation models.

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