Critical Insights From Autoliv Analyst Ratings: What You Need To Know

Autoliv Inc. -2.41% Pre

Autoliv Inc.





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Autoliv (NYSE:ALV) has been analyzed by 4 analysts in the last three months, revealing a diverse range of perspectives from bullish to bearish.

The following table summarizes their recent ratings, shedding light on the changing sentiments within the past 30 days and comparing them to the preceding months.

Bullish Somewhat Bullish Indifferent Somewhat Bearish Bearish
Total Ratings 1 0 3 0 0
Last 30D 0 0 1 0 0
1M Ago 1 0 2 0 0
2M Ago 0 0 0 0 0
3M Ago 0 0 0 0 0

Analysts provide deeper insights through their assessments of 12-month price targets, revealing an average target of $108.5, a high estimate of $115.00, and a low estimate of $105.00. This upward trend is evident, with the current average reflecting a 5.34% increase from the previous average price target of $103.00.

price target chart

Deciphering Analyst Ratings: An In-Depth Analysis

A comprehensive examination of how financial experts perceive Autoliv is derived from recent analyst actions. The following is a detailed summary of key analysts, their recent evaluations, and adjustments to ratings and price targets.

Analyst Analyst Firm Action Taken Rating Current Price Target Prior Price Target
Dan Levy Barclays Raises Equal-Weight $107.00 $105.00
Colin Langan Wells Fargo Raises Equal-Weight $107.00 $101.00
Dan Levy Barclays Raises Equal-Weight $105.00 $100.00
Vijay Rakesh Mizuho Raises Buy $115.00 $106.00

Key Insights:

  • Action Taken: Responding to changing market dynamics and company performance, analysts update their recommendations. Whether they 'Maintain', 'Raise', or 'Lower' their stance, it signifies their response to recent developments related to Autoliv. This offers insight into analysts' perspectives on the current state of the company.
  • Rating: Delving into assessments, analysts assign qualitative values, from 'Outperform' to 'Underperform'. These ratings communicate expectations for the relative performance of Autoliv compared to the broader market.
  • Price Targets: Analysts explore the dynamics of price targets, providing estimates for the future value of Autoliv's stock. This examination reveals shifts in analysts' expectations over time.

Understanding these analyst evaluations alongside key financial indicators can offer valuable insights into Autoliv's market standing. Stay informed and make well-considered decisions with our Ratings Table.

Stay up to date on Autoliv analyst ratings.

Unveiling the Story Behind Autoliv

Autoliv is the global leader in passive safety components and systems for the auto industry. Products include seat belts, frontal air bags, side-impact air bags, air bag inflators, and steering wheels. The Renault-Nissan-Mitsubishi alliance is the company's largest customer at 11% of 2022 revenue, with Stellantis accounting for 11% and Volkswagen 10%. At 34% of 2022 revenue, the Americas was Autoliv's largest geographic region, followed by Europe at 27%, China at 21%, and Japan at 8%.

Autoliv: Financial Performance Dissected

Market Capitalization Analysis: The company's market capitalization is above the industry average, indicating that it is relatively larger in size compared to peers. This may suggest a higher level of investor confidence and market recognition.

Revenue Growth: Autoliv displayed positive results in 3 months. As of 31 December, 2023, the company achieved a solid revenue growth rate of approximately 5.97%. This indicates a notable increase in the company's top-line earnings. As compared to competitors, the company surpassed expectations with a growth rate higher than the average among peers in the Consumer Discretionary sector.

Net Margin: The company's net margin is a standout performer, exceeding industry averages. With an impressive net margin of 8.25%, the company showcases strong profitability and effective cost control.

Return on Equity (ROE): Autoliv's ROE lags behind industry averages, suggesting challenges in maximizing returns on equity capital. With an ROE of 9.03%, the company may face hurdles in achieving optimal financial performance.

Return on Assets (ROA): Autoliv's ROA surpasses industry standards, highlighting the company's exceptional financial performance. With an impressive 2.78% ROA, the company effectively utilizes its assets for optimal returns.

Debt Management: Autoliv's debt-to-equity ratio is below the industry average. With a ratio of 0.8, the company relies less on debt financing, maintaining a healthier balance between debt and equity, which can be viewed positively by investors.

How Are Analyst Ratings Determined?

Ratings come from analysts, or specialists within banking and financial systems that report for specific stocks or defined sectors (typically once per quarter for each stock). Analysts usually derive their information from company conference calls and meetings, financial statements, and conversations with important insiders to reach their decisions.

In addition to their assessments, some analysts extend their insights by offering predictions for key metrics such as earnings, revenue, and growth estimates. This supplementary information provides further guidance for traders. It is crucial to recognize that, despite their specialization, analysts are human and can only provide forecasts based on their beliefs.

This article was generated by Benzinga's automated content engine and reviewed by an editor.

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