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Barclays PLCNYSE:BCS Rapporto sulle azioni

Cap. di mercato US$79.5b
Prezzo delle azioni
US$23.17
US$29.12
20.4% sottovalutato sconto intrinseco
1Y38.7%
7D1.4%
Valore del portafoglio
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Barclays PLC

Report azionario NYSE:BCS

Capitalizzazione di mercato: US$79.5b

Barclays (BCS) Panoramica del titolo

Barclays PLC fornisce vari servizi finanziari nel Regno Unito, in Europa, nelle Americhe, in Africa, in Medio Oriente e in Asia. Maggiori dettagli

BCS analisi fondamentale
Punteggio fiocco di neve
Valutazione5/6
Crescita futura1/6
Prestazioni passate4/6
Salute finanziaria2/6
Dividendi4/6

BCS Community Fair Values

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Concorrenti di Barclays PLC

Storia dei prezzi e prestazioni

Riepilogo dei massimi, dei minimi e delle variazioni dei prezzi delle azioni per Barclays
Prezzi storici delle azioni
Prezzo attuale dell'azioneUK£23.17
Massimo di 52 settimaneUK£27.70
Minimo di 52 settimaneUK£16.57
Beta0.90
Variazione di 1 mese-2.36%
Variazione a 3 mesi-11.43%
Variazione di 1 anno38.74%
Variazione a 3 anni195.91%
Variazione a 5 anni124.08%
Variazione dall'IPO323.68%

Notizie e aggiornamenti recenti

Seeking Alpha Apr 13

Barclays: Interesting Fundamentals, But Challenges Are Being Underestimated

Summary Barclays PLC receives a "Hold" rating, reflecting limited risk-adjusted upside at current valuations. Recent share price recovery and consensus "Buy" ratings are challenged by concerns over high overheads, regulatory history, and reliance on buybacks for KPI improvement. 2025 results met guidance, but cost/income remains elevated (over 61%), yield is under 2%, and buybacks are driving much of the reported EPS and ROTE growth. I see Barclays as fundamentally sound but not attractively valued for growth. Significant upside depends on aggressive buybacks and optimistic efficiency gains. Read the full article on Seeking Alpha

Recent updates

Seeking Alpha Apr 13

Barclays: Interesting Fundamentals, But Challenges Are Being Underestimated

Summary Barclays PLC receives a "Hold" rating, reflecting limited risk-adjusted upside at current valuations. Recent share price recovery and consensus "Buy" ratings are challenged by concerns over high overheads, regulatory history, and reliance on buybacks for KPI improvement. 2025 results met guidance, but cost/income remains elevated (over 61%), yield is under 2%, and buybacks are driving much of the reported EPS and ROTE growth. I see Barclays as fundamentally sound but not attractively valued for growth. Significant upside depends on aggressive buybacks and optimistic efficiency gains. Read the full article on Seeking Alpha
Seeking Alpha Apr 25

Barclays: Deposit-To-Loan And Credit Cycle Obstacles Have Emerged

Summary Barclays' ADRs trade below book value despite a near 60% year-on-year increase. Although tempted by the asset, we think structural risks have emerged that could create a value trap. Net interest income faces headwinds due to softened deposits and stalled loan commitments, potentially impacting Barclays' financials by late 2025. Despite a strong liquidity coverage ratio and non-cyclical performance from wealth management, we think the bank's NII risk remains underestimated. The bank's dividend profile is commendable, and its price returns show an ability to create holistic shareholder value. However, max drawdown and VaR metrics show that cyclical declines are severe. We maintain a 'Hold' outlook on Barclays. Read the full article on Seeking Alpha
Seeking Alpha Feb 14

Barclays Q4 Results: Backing Out After 20%+ Gain

Summary Barclays PLC's Q4 results showed a 24.3% increase in total income, driven by strong performance in UK and Investment Banking, despite a 4% ADR drop. Concerns arise from Barclays UK's credit headwinds, declining mortgage rates, and rising delinquencies, impacting lending and depository environment. Investment Banking's future is uncertain, but potential M&A and IPO rebounds, along with fixed-income opportunities, could mitigate trading revenue risks. Given fundamental headwinds in UK consumer and corporate debt segments, I downgrade Barclays' ADRs from 'buy' to 'hold.'. Read the full article on Seeking Alpha
Seeking Alpha Dec 20

Barclays: Still Trading At 0.6x 2026 Book Value

Summary Barclays remains a high-conviction pick, outperforming peers in 2024, trading at ~0.6x 2026 TBV despite a 70% YTD increase. The bank targets a +12% RoTE by 2026, focusing on high-return UK segments and cost efficiency, driving current outperformance. Analysts projections expect Barclays to meet cost-income targets but fall short on RoTE due to lower revenue growth; current valuation reflects a discount to U.S. peers. Key risks include macroeconomic crises, litigation, and execution failures, but BCS' resilient business model and buyback program support a Strong Buy rating. Read the full article on Seeking Alpha
Seeking Alpha Nov 01

Barclays: On Track For Super-Charged Shareholder Returns

Summary Barclays stock is poised for significant upside, supported by strong Q3 results, a cheap valuation, and improving commercial momentum. The bank's Q3 performance exceeded expectations with strong revenue and earnings growth, highlighting operational discipline and strategic hedging initiatives. Barclays aims for £30 billion in revenue by 2026 and plans to return $10 billion to shareholders, promising substantial equity yield. I now estimate Barclays' U.S. ADR fair value at $33 per share, driven by revised EPS projections and an ongoing positive outlook for investment banking fees. Read the full article on Seeking Alpha
Seeking Alpha Oct 25

Barclays: Value Or Trap Following Q3 Earnings?

Summary Barclays PLC has shown improved financial performance in Q3 2024, but revenue and earnings growth may be challenging due to the expected declining interest rate environment. The bank's valuation remains low, trading at around 0.6x book value, reflecting structural issues and a more cyclical business mix compared to peers. Barclays' strategy includes streamlining operations, focusing on higher growth areas, and improving efficiency, but more aggressive steps are needed for a potential re-rating. Despite positive earnings and a strong capital position, Barclays' shares do not offer much value for long-term investors given current market conditions and profitability challenges. Read the full article on Seeking Alpha
Seeking Alpha Aug 28

Barclays: Still Undervalued With Fundamental Resilience

Summary Barclays PLC's stock price has surged since our latest coverage in October 2022, but a changing interest rate environment necessitates a revised outlook. Recent results show a decline in group income. I believe retail and corporate banking might underperform toward the back end of 2024 and early 2025. Despite my concerns about Barclays' net interest income, key metrics suggest that the firm's investment banking unit might spike. Moreover, private banking and wealth management can provide sustainable growth. A residual income model deems Barclays' stock undervalued, and a bird's-eye observation suggests the bank's dividend profile is respectable. Read the full article on Seeking Alpha
Seeking Alpha Aug 12

Barclays: Heading In The Right Direction

Summary Barclays reported a solid set of 2Q24 numbers, upgrading FY24E net interest income guidance and announcing a further £750m share buyback. Management is happy with the early progress towards the FY26 financial targets announced earlier this year. Consensus forecasts for FY26E imply significant share price upside, but should be taken with a healthy pinch of salt. The Barclays share price has performed well in recent months and has sufficient potential for further gains to support the maintenance of a Buy rating. Read the full article on Seeking Alpha
Seeking Alpha May 20

Barclays: Well On Track To Deliver On The Triple-Digit Upside

Summary Barclays delivered a solid set of Q1 results, generating £7.0 billion in revenues, and £2.3 billion in pre-tax profits after impairment. Together with Q1 results, Barclays also shared a corporate strategy update and guided for a ROTE of >10% in 2024 and <12% in 2025. If ROTE guidance is correct, then BCS shares are undoubtedly cheap at about 0.5 P/B, and the stock may deserve a re-rating. The thesis of a cheap valuation is further underscored by Barclays' ambition to return about $12.5 billion of capital to investors over the next 3 years. I reiterate a "Strong Buy" rating for BCS shares, while I raise my base case target price to $29.5. Read the full article on Seeking Alpha

Rendimenti per gli azionisti

BCSUS BanksUS Mercato
7D1.4%-1.9%2.6%
1Y38.7%17.2%26.2%

Ritorno vs Industria: BCS ha superato il US Banks che ha restituito 17.2 % nell'ultimo anno.

Rendimento vs Mercato: BCS ha superato il mercato US che ha restituito 26.2 % nell'ultimo anno.

Volatilità dei prezzi

Is BCS's price volatile compared to industry and market?
BCS volatility
BCS Average Weekly Movement5.4%
Banks Industry Average Movement3.5%
Market Average Movement7.2%
10% most volatile stocks in US Market16.1%
10% least volatile stocks in US Market3.2%

Prezzo delle azioni stabile: BCS non ha avuto una volatilità dei prezzi significativa negli ultimi 3 mesi rispetto al mercato US.

Volatilità nel tempo: La volatilità settimanale ( 5% ) di BCS è rimasta stabile nell'ultimo anno.

Informazioni sull'azienda

FondatoI dipendentiAMMINISTRATORE DELEGATOSito web
169093,000Venkat Venkatakrishnanhome.barclays

Barclays PLC fornisce vari servizi finanziari nel Regno Unito, in Europa, nelle Americhe, in Africa, in Medio Oriente e in Asia. L'azienda opera attraverso i segmenti Barclays UK, Barclays UK Corporate Bank, Barclays Private Bank and Wealth Management, Barclays Investment Bank e Barclays US Consumer Bank. Offre servizi finanziari, come conti correnti, conti di risparmio, mutui e prestiti non garantiti, come carte di credito e prestiti, servizi bancari al dettaglio, servizi bancari all'ingrosso, servizi bancari di investimento, gestione patrimoniale e gestione degli investimenti, nonché prodotti di prestito.

Barclays PLC Riepilogo dei fondamenti

Come si confrontano gli utili e i ricavi di Barclays con la sua capitalizzazione di mercato?
BCS statistiche fondamentali
Capitalizzazione di mercatoUS$79.45b
Utili (TTM)US$8.50b
Ricavi(TTM)US$36.89b
9.3x
Rapporto P/E
0.8x
Rapporto P/B

Utili e ricavi

Statistiche chiave sulla redditività dall'ultima relazione sugli utili (TTM)
BCS Conto economico (TTM)
RicaviUK£27.09b
Costo del fatturatoUK£0
Profitto lordoUK£27.09b
Altre speseUK£20.85b
UtiliUK£6.24b

Ultimi utili riportati

Mar 31, 2026

Prossima data di guadagno

Jul 28, 2026

Utile per azione (EPS)0.46
Margine lordo100.00%
Margine di profitto netto23.04%
Rapporto debito/patrimonio netto984.3%

Come si è comportato BCS nel lungo periodo?

Vedi performance storica e confronto

Dividendi

2.0%
Rendimento attuale del dividendo
20%
Rapporto di remunerazione

Analisi aziendale e situazione dei dati finanziari

DatiUltimo aggiornamento (ora UTC)
Analisi dell'azienda2026/05/11 08:16
Prezzo dell'azione a fine giornata2026/05/11 00:00
Utili2026/03/31
Utili annuali2025/12/31

Fonti dei dati

I dati utilizzati nella nostra analisi aziendale provengono da S&P Global Market Intelligence LLC. I seguenti dati sono utilizzati nel nostro modello di analisi per generare questo report. I dati sono normalizzati, il che può comportare un ritardo nella disponibilità della fonte.

PacchettoDatiTempisticaEsempio Fonte USA *
Dati finanziari della società10 anni
  • Conto economico
  • Rendiconto finanziario
  • Bilancio
Stime di consenso degli analisti+3 anni
  • Previsioni finanziarie
  • Obiettivi di prezzo degli analisti
Prezzi di mercato30 anni
  • Prezzi delle azioni
  • Dividendi, scissioni e azioni
Proprietà10 anni
  • Top azionisti
  • Insider trading
Gestione10 anni
  • Team di leadership
  • Consiglio di amministrazione
Sviluppi principali10 anni
  • Annunci aziendali

* Esempio per i titoli statunitensi, per i titoli non statunitensi si utilizzano forme e fonti normative equivalenti.

Se non specificato, tutti i dati finanziari si basano su un periodo annuale ma vengono aggiornati trimestralmente. Si tratta dei cosiddetti dati TTM (Trailing Twelve Month) o LTM (Last Twelve Month). Per saperne di più.

Modello di analisi e Snowflake

I dettagli del modello di analisi utilizzato per generare questo report sono disponibili sulla nostra pagina Github; abbiamo anche guide su come utilizzare i nostri report e tutorial su Youtube.

Scoprite il team di livello mondiale che ha progettato e realizzato il modello di analisi Simply Wall St.

Metriche di settore e industriali

Le nostre metriche di settore e di sezione sono calcolate ogni 6 ore da Simply Wall St; i dettagli del nostro processo sono disponibili su Github.

Fonti analitiche

Barclays PLC è coperta da 29 analisti. 15 di questi analisti ha fornito le stime di fatturato o di utile utilizzate come input per il nostro report. Le stime degli analisti vengono aggiornate nel corso della giornata.

AnalistaIstituzione
Jesús Gómez DominguezBanco Santander
Peter RichardsonBerenberg
Dirk Hoffmann-BeckingBernstein