This company has been acquired
Envestnet 配当と自社株買い
配当金 基準チェック /06
Envestnet配当金を支払った記録がありません。
主要情報
n/a
配当利回り
0.5%
バイバック利回り
| 総株主利回り | 0.5% |
| 将来の配当利回り | 0% |
| 配当成長 | n/a |
| 次回配当支払日 | n/a |
| 配当落ち日 | n/a |
| 一株当たり配当金 | n/a |
| 配当性向 | n/a |
最近の配当と自社株買いの更新
Recent updates
Why Investors Should Steer Clear Of The Envestnet Buyout
Summary Bain Capital's $4.5 billion bid to take Envestnet private is approved, with a closing expected in Q4 2024. Envestnet provides critical wealth management software and services, generating revenue from subscriptions, AUM/A, and professional services. Despite its strong market position, Envestnet faces financial challenges, including rising expenses and recent losses, making it an attractive turnaround target for Bain. The deal's high certainty of closing and strategic benefits make it a near risk-free opportunity, but caution is advised due to potential market uncertainties. Read the full article on Seeking AlphaWe Like These Underlying Return On Capital Trends At Envestnet (NYSE:ENV)
To find a multi-bagger stock, what are the underlying trends we should look for in a business? Amongst other things...Is There An Opportunity With Envestnet, Inc.'s (NYSE:ENV) 28% Undervaluation?
Key Insights Using the 2 Stage Free Cash Flow to Equity, Envestnet fair value estimate is US$94.59 Envestnet's US$67.97...Envestnet: Watch Above-Expectations Earnings And Potential Event-Driven Catalyst
Summary ENV achieved a +9% EPS beat in Q1 2024, and the company anticipates that its bottom line could rise by +36% YoY for Q2. Envestnet's valuations are attractive based on a comparison of its EV/EBITDA metric with its EBITDA growth outlook, so its shares could possibly trade higher in a potential takeover scenario. A Buy rating for ENV is maintained after considering its recent quarterly performance and the potential event-driven catalyst. Read the full article on Seeking AlphaEnvestnet (NYSE:ENV) Has A Pretty Healthy Balance Sheet
Howard Marks put it nicely when he said that, rather than worrying about share price volatility, 'The possibility of...Envestnet, Inc.'s (NYSE:ENV) Share Price Is Matching Sentiment Around Its Revenues
You may think that with a price-to-sales (or "P/S") ratio of 2.6x Envestnet, Inc. ( NYSE:ENV ) is a stock worth...Is It Too Late To Consider Buying Envestnet, Inc. (NYSE:ENV)?
Envestnet, Inc. ( NYSE:ENV ), is not the largest company out there, but it saw a significant share price rise of 33% in...Envestnet: Still Bullish After Q4 Results Beat
Summary Envestnet's normalized EPS jumped by +44% YoY to $0.65 in Q4 2023, which translated into a meaningful +23% earnings beat. Envestnet sees the company's bottom line growing by a strong +18% YoY in the first quarter of this year. My existing Buy rating for Envestnet is intact, as I am impressed with the company's latest quarterly results and forward-looking guidance. Read the full article on Seeking AlphaIs Envestnet (NYSE:ENV) A Risky Investment?
Some say volatility, rather than debt, is the best way to think about risk as an investor, but Warren Buffett famously...Envestnet, Inc. (NYSE:ENV) Shares Could Be 22% Below Their Intrinsic Value Estimate
Key Insights The projected fair value for Envestnet is US$65.66 based on 2 Stage Free Cash Flow to Equity Envestnet is...Envestnet, Inc. (NYSE:ENV) Stock Catapults 34% Though Its Price And Business Still Lag The Industry
Envestnet, Inc. ( NYSE:ENV ) shareholders would be excited to see that the share price has had a great month, posting a...When Should You Buy Envestnet, Inc. (NYSE:ENV)?
Envestnet, Inc. ( NYSE:ENV ), is not the largest company out there, but it saw a decent share price growth in the teens...Envestnet Grows Profit But Revenue Stalls Out
Summary Envestnet, Inc. has recently reported Q3 2023 financial results, missing revenue but beating earnings estimates. Envestnet provides software and services to institutional investment managers and traders. The global wealth management software market is projected to reach $12.2 billion by 2030, driving Envestnet's growth potential. I remain Neutral [Hold] on Envestnet due to stalling revenue growth. Read the full article on Seeking AlphaEnvestnet: A Mixed View (Rating Downgrade)
Summary I am concerned that Envestnet, Inc. financial performance in the short term might fail to meet the market's expectations. However, I am encouraged by management commentary regarding plans to evaluate the company's non-core businesses. I lower my rating for Envestnet to a Hold, after considering both the positives and negatives associated with the stock. Read the full article on Seeking AlphaEnvestnet, Inc. (NYSE:ENV) Shares Could Be 48% Below Their Intrinsic Value Estimate
Key Insights The projected fair value for Envestnet is US$96.91 based on 2 Stage Free Cash Flow to Equity Current share...Does Envestnet (NYSE:ENV) Have A Healthy Balance Sheet?
Howard Marks put it nicely when he said that, rather than worrying about share price volatility, 'The possibility of...Envestnet Guides To Slow Revenue Growth In 2023
Summary Envestnet provides a suite of wealth management software and related services in the U.S. and overseas. The company is exposed to the challenged banking sector in its customer base, and management has guided to only 2% topline revenue growth in 2023. Until leadership proves its ability to reignite revenue growth, I'm Neutral (Hold) on Envestnet. Read the full article on Seeking AlphaAre Investors Undervaluing Envestnet, Inc. (NYSE:ENV) By 31%?
Key Insights Envestnet's estimated fair value is US$79.09 based on 2 Stage Free Cash Flow to Equity Current share price...Should You Investigate Envestnet, Inc. (NYSE:ENV) At US$54.21?
While Envestnet, Inc. ( NYSE:ENV ) might not be the most widely known stock at the moment, it received a lot of...Does Envestnet (NYSE:ENV) Have A Healthy Balance Sheet?
David Iben put it well when he said, 'Volatility is not a risk we care about. What we care about is avoiding the...Are Investors Undervaluing Envestnet, Inc. (NYSE:ENV) By 27%?
Key Insights Envestnet's estimated fair value is US$84.07 based on 2 Stage Free Cash Flow to Equity Envestnet is...Envestnet Non-GAAP EPS of $0.45 beats by $0.01, revenue of $292.9M misses by $3.24M, revenue guidance below consensus
Envestnet press release (NYSE:ENV): Q4 Non-GAAP EPS of $0.45 beats by $0.01. Revenue of $292.9M (-8.4% Y/Y) misses by $3.24M. FQ1 revenues of $299.0M-$302.0M, vs. consensus of $310.35M. FY23 revenues of $1.24B-$1.26B, vs. consensus of $1.32B. FQ1 Non-GAAP EPS of $0.45, vs. consensus of $0.45. FY23 EPS of $1.95-$2.05, vs. consensus of $2.13.Is Now An Opportune Moment To Examine Envestnet, Inc. (NYSE:ENV)?
Envestnet, Inc. ( NYSE:ENV ), might not be a large cap stock, but it received a lot of attention from a substantial...Envestnet: Best Nearby Infotech Software Cap-Gain Stock Prospect
Summary “Best” of dozens, based on stock price change outlook seen by the pro market-making community as they serve their big-$ institutional investment clients managing multi-billion-$ portfolios. “Best” as the MM community arranges multi-thousand share trades among “institutions” by buying price-change-risk insurance to protect their firm’s capital temporarily risked to match buyer with seller share volume. There, the costs and structures of such hedging in “derivative securities” markets tells the stock’s outer-price-limits likely in the next few months seen by well-informed players betting big-$. Subsequent past 5-year market-price history tells how well (odds) those limits have been foreseen at prior times, which looked like the Risk~Reward balance seen now. Investment Theme The focus of this information-technology-centered software/service company is on the professional investment industry itself. Its website clearly states that only businesses providing investment services are of interest to Envestnet, Inc. (ENV). As has been indicated in prior articles, Market-Maker risk-avoidance requirements continually drive derivative market prices (even including this one's), revealing the coming price range expectations of professionals. They are informed by over 100,000 world-wide wide-eyed and -eared MM employees on a 24x7x365 watch for change in competitive circumstances. Which get immediately communicated to the home-base trading desks - principal customers of ENV. Following an unchanging risk-minimizing portfolio management discipline, records can be kept of how insightful the maintained intelligences flow has been on ENV and each of thousands of subject stocks over decades of daily observations. Description Of Our Company Of Interest Envestnet, Inc., together with its subsidiaries, provides wealth management software and services in the United States and internationally. The company's Envestnet Wealth Solutions segment offers Envestnet | Enterprise, which provides an end-to-end open architecture wealth management platform, as well as offers data aggregation and reporting, data analytics, and digital advice capabilities. The company's Envestnet Data & Analytics segment offers Envestnet Data & Analytics, a data aggregation, data intelligence, and experiences platform that enables consumers to aggregate financial accounts within client applications, as well as provides clients the functionality to gather, refine, and aggregate various sets of consumer permissioned data for use in financial applications, reports, market research analysis, and application programming interfaces. Envestnet, Inc. was founded in 1999 and is headquartered in Berwyn, Pennsylvania. Source: Yahoo Finance Yahoo Finance These estimates come from less-intense general "street analyst" estimates made across hundreds or more subject companies, usually without specific things of value resting on the estimates offered. What Are The Present Opportunities? Figure 1 compares the prices and price-range extremes likely of Information Technology-provider stocks at this point in time, now that the Covid-19 pandemic has become relaxed as to voluntary home quarantining. Figure 1 blockdesk.com (used with permission) The tradeoffs here are between near-term upside price gains (green horizontal scale) seen worth protecting against by Market-makers with short positions in each of the ETFs, and the prior actual price drawdowns experienced during holdings of those ETFs (red vertical scale). Both scales are of percent change from zero to 25%. Desirable locations are down and to the right. The intersection of those coordinates by the numbered positions are identified by the stock symbols in the blue field to the right. The 'market-average" notion SPDR S&P 500 Index ETF (SPY) at location [10] provides a sense of trade-off norms. ENV at [8] is our principal focus. The dotted diagonal line marks the points of equal upside price change forecasts derived from Market-Maker [MM] hedging actions, and the actual worst-case price drawdowns from positions that could have been taken following prior MM forecasts like today's. This map is a good starting point, but it may only cover part of the investment characteristics that often should influence an investor's choice of where to put his/her capital to work. Other considerations are indicated in Figure 2. Figure 2 blockdesk.com (used with permission) Because this article is an alert to be aware of a potential coming action-article rather than a presentation of the rationale for the action itself, there is little need for specific comparative data on alternative investment candidates. But it may be useful from a perspective point of view to understand what norms and extremes are frequently to be found. The likely price range forecast for our subject of the moment, ENV, is in columns [B] and [C] with its current price in [D]. [E] tells the upside size of a price move [B] from [D]. The Range Index [G] measures the downside proportion of the whole [C] to [B] range lying between [D] and [C]. That proportion is reported in [G] as a % may be looked at as a potential forecast-risk "cost" of owning or being "long" the subject. We use the Range Index as a perceived Reward~Risk gauge of coming near price extremes to assemble a sample of prior expectations among institutional investors and their professional agents, the Market-Makers. With a statistically-significant number of prior expectations a comparison of the subject investment candidate of the moment can be made to itself, historically, and used as a normalized projection of how often such prior projections became profitable outcomes in the sample [L] from the available 1261 forecast days [M] of the past 5 years. In addition to the "Win odds" of [H] we can know the average size [I] of the net win and loss payoff outcomes of all [L] forecasts and use it in comparison to the comparison of the current [E] upside potential maximum likely price gain prospect [E]. That [E] vs. [I] ratio we regard as the "Credible ratio" shown in [N]. Because [ I ] usually includes some loss experiences [N] typically is less than 1.0, but anything less than .70 is not encouraging.決済の安定と成長
配当データの取得
安定した配当: ENVの 1 株当たり配当が過去に安定していたかどうかを判断するにはデータが不十分です。
増加する配当: ENVの配当金が増加しているかどうかを判断するにはデータが不十分です。
配当利回り対市場
| Envestnet 配当利回り対市場 |
|---|
| セグメント | 配当利回り |
|---|---|
| 会社 (ENV) | n/a |
| 市場下位25% (US) | 1.4% |
| 市場トップ25% (US) | 4.2% |
| 業界平均 (Software) | 0.9% |
| アナリスト予想 (ENV) (最長3年) | 0% |
注目すべき配当: ENVは最近配当金を報告していないため、配当金支払者の下位 25% に対して同社の配当利回りを評価することはできません。
高配当: ENVは最近配当金を報告していないため、配当金支払者の上位 25% に対して同社の配当利回りを評価することはできません。
株主への利益配当
収益カバレッジ: ENVの 配当性向 を計算して配当金の支払いが利益で賄われているかどうかを判断するにはデータが不十分です。
株主配当金
キャッシュフローカバレッジ: ENVが配当金を報告していないため、配当金の持続可能性を計算できません。
高配当企業の発掘
企業分析と財務データの現状
| データ | 最終更新日(UTC時間) |
|---|---|
| 企業分析 | 2024/11/25 11:04 |
| 終値 | 2024/11/22 00:00 |
| 収益 | 2024/09/30 |
| 年間収益 | 2023/12/31 |
データソース
企業分析に使用したデータはS&P Global Market Intelligence LLC のものです。本レポートを作成するための分析モデルでは、以下のデータを使用しています。データは正規化されているため、ソースが利用可能になるまでに時間がかかる場合があります。
| パッケージ | データ | タイムフレーム | 米国ソース例 |
|---|---|---|---|
| 会社財務 | 10年 |
| |
| アナリストのコンセンサス予想 | +プラス3年 |
|
|
| 市場価格 | 30年 |
| |
| 所有権 | 10年 |
| |
| マネジメント | 10年 |
| |
| 主な進展 | 10年 |
|
* 米国証券を対象とした例であり、非米国証券については、同等の規制書式および情報源を使用。
特に断りのない限り、すべての財務データは1年ごとの期間に基づいていますが、四半期ごとに更新されます。これは、TTM(Trailing Twelve Month)またはLTM(Last Twelve Month)データとして知られています。詳細はこちら。
分析モデルとスノーフレーク
本レポートを生成するために使用した分析モデルの詳細は当社のGithubページでご覧いただけます。また、レポートの使用方法に関するガイドやYoutubeのチュートリアルも掲載しています。
シンプリー・ウォールストリート分析モデルを設計・構築した世界トップクラスのチームについてご紹介します。
業界およびセクターの指標
私たちの業界とセクションの指標は、Simply Wall Stによって6時間ごとに計算されます。
アナリスト筋
Envestnet, Inc. 9 これらのアナリストのうち、弊社レポートのインプットとして使用した売上高または利益の予想を提出したのは、 。アナリストの投稿は一日中更新されます。16
| アナリスト | 機関 |
|---|---|
| Eric Bertrand | Barclays |
| Alexander Paris | Barrington Research Associates, Inc. |
| Paul Condra | BMO Capital Markets Equity Research |