Acushnet Holdings Corp.

NYSE:GOLF Stok Raporu

Piyasa değeri: US$5.1b

Acushnet Holdings Gelecekteki Büyüme

Future kriter kontrolleri 2/6

Acushnet Holdings kazanç ve gelirin sırasıyla yıllık 15.4% ve 3% oranında artacağı tahmin edilmektedir. EPS'nin yıllık 16.6% oranında büyümesi beklenmektedir. Özkaynak kârlılığının 3 yıl içinde 28.2% olacağı tahmin edilmektedir.

Anahtar bilgiler

15.4%

Kazanç büyüme oranı

16.62%

EPS büyüme oranı

Leisure kazanç büyümesi37.3%
Gelir büyüme oranı3.0%
Gelecekteki özkaynak getirisi28.23%
Analist kapsamı

Good

Son güncelleme19 May 2026

Gelecekteki son büyüme güncellemeleri

Recent updates

Analiz Makalesi May 14

Some Investors May Be Willing To Look Past Acushnet Holdings' (NYSE:GOLF) Soft Earnings

Shareholders appeared unconcerned with Acushnet Holdings Corp.'s ( NYSE:GOLF ) lackluster earnings report last week...
Anlatı Güncellemesi May 04

GOLF: Solid Execution And 2026 Outlook Will Support Fairly Balanced Risk Reward

Analysts have nudged Acushnet Holdings' average price target higher into a tight range around $100, with recent moves such as Roth Capital lifting its target to $102 and Jefferies raising to $100. They cited solid quarterly execution, 2026 guidance slightly ahead of expectations, and a view that the current valuation near 16x expected 2026 EBITDA leaves risk and reward relatively balanced.
Anlatı Güncellemesi Apr 18

GOLF: Solid Demand And 2026 Outlook Will Support Balanced Risk Reward

Analysts have lifted their blended price target for Acushnet Holdings by roughly $20 to around $100, citing another solid quarter, 2026 guidance that is modestly ahead of expectations, and steady demand, which they see as balanced against the current valuation near 16x expected 2026 EBITDA. Analyst Commentary Recent research on Acushnet Holdings reflects a mix of optimism about execution and caution around valuation, particularly with the shares referenced as trading at roughly 16x expected 2026 EBITDA.
Anlatı Güncellemesi Apr 03

GOLF: Solid Demand And Capital Returns Will Support Balanced Outlook Through 2026

Narrative Update Acushnet Holdings' analyst price targets have generally shifted higher into a $100 to $102 range, as analysts cite solid recent quarters, 2026 guidance slightly above expectations, steady demand, and ongoing capital returns. They also highlight a balanced risk/reward profile with the shares trading at over 16x expected 2026 EBITDA.
Anlatı Güncellemesi Mar 18

GOLF: Solid Demand And Capital Returns Will Shape Balanced Future Risk Reward Profile

Narrative Update: Acushnet Holdings Analyst Price Target Shift The updated analyst work nudges the fair value estimate for Acushnet Holdings to about $100 from roughly $98, reflecting higher Street price targets after what analysts describe as another solid quarter, a slightly better than expected 2026 outlook, and confidence in underlying demand, product cadence, and capital returns, even as some call out a more balanced risk/reward at current P/E and EBITDA multiples. Analyst Commentary Recent Street research on Acushnet Holdings clusters around a similar theme, with analysts acknowledging execution on recent quarters and 2026 guidance, while debating how much of that progress is already reflected in the share price.
Anlatı Güncellemesi Mar 04

GOLF: Higher P/E And Mixed Rating Shifts Will Shape Balanced Future Returns

Analysts have increased their price targets on Acushnet Holdings, with our fair value estimate moving from $90.14 to $98.00 as recent research points to solid demand trends, a slightly lower discount rate, modestly higher revenue growth assumptions, and a higher future P/E multiple despite some pressure on profit margins. Analyst Commentary Recent Street research on Acushnet Holdings reflects a mix of optimism on execution and demand, paired with some caution around valuation and margin pressures.
Anlatı Güncellemesi Feb 18

GOLF: Rich P/E And Mixed Rating Shifts Will Constrain Future Returns

Analysts have nudged their price targets on Acushnet Holdings higher, with our fair value estimate moving about $3 higher to roughly $90 per share. This reflects updated views on revenue growth, profit margins and a slightly richer future P/E, informed by recent target raises and rating changes across the Street.
Analiz Makalesi Feb 07

Is Now The Time To Put Acushnet Holdings (NYSE:GOLF) On Your Watchlist?

For beginners, it can seem like a good idea (and an exciting prospect) to buy a company that tells a good story to...
Anlatı Güncellemesi Feb 03

GOLF: Rich P/E And Mixed Rating Shifts Will Pressure Future Returns

Analysts have raised their fair value estimate for Acushnet Holdings from about $81.29 to roughly $87.14, citing updated assumptions on discount rate, revenue growth, profit margins, a slightly higher future P/E multiple, and recent price target and rating changes from the Street. Analyst Commentary Recent Street research on Acushnet Holdings reflects a mix of optimism around execution and growth, alongside some caution on how much upside is already captured in the valuation.
Anlatı Güncellemesi Jan 20

GOLF: Mixed Ratings And Rich P/E Will Constrain Future Return Potential

Analysts have nudged their fair value estimate for Acushnet Holdings higher, lifting the implied target from about US$79.86 to roughly US$81.29. They cite recent Street research that includes a higher price target from one firm and a sector-weight downgrade from another, modestly updated discount rate and growth inputs, and a slightly higher assumed future P/E multiple.
Anlatı Güncellemesi Jan 06

GOLF: Ongoing Buybacks And Stable Guidance Will Support Balanced Future Returns

Analysts kept their fair value estimate for Acushnet Holdings steady at about $80, with only very small tweaks to the discount rate, revenue growth, profit margin and future P/E assumptions, signaling a largely unchanged price target framework overall. What's in the News The company reiterated revenue guidance for the second half of 2025, with expectations for low single digit revenue growth on a reported basis (Corporate guidance).
Analiz Makalesi Jan 01

We Think Acushnet Holdings (NYSE:GOLF) Can Stay On Top Of Its Debt

Warren Buffett famously said, 'Volatility is far from synonymous with risk.' It's only natural to consider a company's...
Anlatı Güncellemesi Dec 18

GOLF: Share Repurchases And Margin Expansion Will Support Balanced Future Returns

Analysts have nudged their price target on Acushnet Holdings higher by approximately $1.00 to reflect slightly stronger expectations for revenue growth, improving profit margins, and a still supportive but modestly lower future earnings multiple. What's in the News Reiterated second half 2025 revenue guidance, calling for low single digit growth versus the prior year, signaling steady but moderated expansion.
Analiz Makalesi Dec 12

Is There An Opportunity With Acushnet Holdings Corp.'s (NYSE:GOLF) 26% Undervaluation?

Key Insights Acushnet Holdings' estimated fair value is US$116 based on 2 Stage Free Cash Flow to Equity Acushnet...
Anlatı Güncellemesi Dec 04

GOLF: Share Repurchases And Margin Stability Will Support Balanced Returns

Narrative Update on Acushnet Holdings Analysts have modestly increased their price target on Acushnet Holdings, citing slightly higher long term revenue growth and profit margin expectations, along with a marginally higher discount rate. Together, these factors support a fair value estimate holding near approximately 79 dollars per share.
Analiz Makalesi Nov 25

What Does Acushnet Holdings Corp.'s (NYSE:GOLF) Share Price Indicate?

Acushnet Holdings Corp. ( NYSE:GOLF ), is not the largest company out there, but it saw a decent share price growth of...
Anlatı Güncellemesi Nov 20

GOLF: Profit Margin Strength Will Sustain Momentum Despite Softening Revenue Outlook

Analysts have slightly raised their price target for Acushnet Holdings by $1 to $78.86, reflecting a modest improvement in projected profit margin even as expectations for revenue growth have become more restrained. What's in the News Acushnet Holdings Corp.
Anlatı Güncellemesi Nov 05

GOLF: Strong Product Demand Will Offset Apparel Headwinds And Maintain Momentum

Analysts have raised their price target for Acushnet Holdings by $2.00. They cite stronger revenue growth, improved profit margins, and positive momentum from recent product launches.
Analiz Makalesi Oct 09

Acushnet Holdings Corp.'s (NYSE:GOLF) Business Is Trailing The Market But Its Shares Aren't

It's not a stretch to say that Acushnet Holdings Corp.'s ( NYSE:GOLF ) price-to-earnings (or "P/E") ratio of 20.9x...
Analiz Makalesi Sep 13

Returns Are Gaining Momentum At Acushnet Holdings (NYSE:GOLF)

To find a multi-bagger stock, what are the underlying trends we should look for in a business? Ideally, a business will...
Seeking Alpha Sep 04

Acushnet: Despite Growth, Valuation And Long-Term Concerns Prevent An Upgrade

Summary Acushnet Holdings posted solid Q2 results, with revenue and profits rising, but cash flow growth remains modest and some segments lagged. Key international markets like South Korea and Japan face structural headwinds from population decline, limiting long-term growth potential. Tariffs and macroeconomic uncertainty continue to weigh on the outlook, though management is mitigating impacts through cost controls and price actions. Despite strong brand and US performance, shares appear fairly valued versus peers, supporting my continued 'hold' rating for the stock. Read the full article on Seeking Alpha
Analiz Makalesi Aug 30

Here's Why Acushnet Holdings (NYSE:GOLF) Has Caught The Eye Of Investors

The excitement of investing in a company that can reverse its fortunes is a big draw for some speculators, so even...
Anlatı Güncellemesi Aug 27

High Valuations Will Fail Against Global Headwinds

Analyst price targets for Acushnet Holdings have risen to $75.86, reflecting strong demand for new T-series irons, resilient performance, and a positive sector outlook, despite ongoing challenges in Korean apparel and FootJoy repositioning. Analyst Commentary Strong initial sell-through trends for the new T-series iron club launch are supporting improved demand outlook.
Analiz Makalesi Aug 14

Acushnet Holdings (NYSE:GOLF) Has Announced A Dividend Of $0.235

Acushnet Holdings Corp. ( NYSE:GOLF ) will pay a dividend of $0.235 on the 19th of September. This takes the annual...
Analiz Makalesi Aug 09

Does Acushnet Holdings (NYSE:GOLF) Have A Healthy Balance Sheet?

Warren Buffett famously said, 'Volatility is far from synonymous with risk.' So it seems the smart money knows that...
Analiz Makalesi Jul 16

Is Acushnet Holdings Corp. (NYSE:GOLF) Trading At A 29% Discount?

Key Insights Using the 2 Stage Free Cash Flow to Equity, Acushnet Holdings fair value estimate is US$109 Acushnet...
Analiz Makalesi Jul 04

Is There Now An Opportunity In Acushnet Holdings Corp. (NYSE:GOLF)?

Acushnet Holdings Corp. ( NYSE:GOLF ), might not be a large cap stock, but it received a lot of attention from a...
Analiz Makalesi Jun 10

Unpleasant Surprises Could Be In Store For Acushnet Holdings Corp.'s (NYSE:GOLF) Shares

There wouldn't be many who think Acushnet Holdings Corp.'s ( NYSE:GOLF ) price-to-earnings (or "P/E") ratio of 18.8x is...
Analiz Makalesi May 29

Returns On Capital Are Showing Encouraging Signs At Acushnet Holdings (NYSE:GOLF)

If we want to find a stock that could multiply over the long term, what are the underlying trends we should look for...
Seeking Alpha Mar 04

Acushnet Holdings: Taking Another Swing At This Name

Summary Despite my passion for golf, I maintain Acushnet Holdings as a ‘hold’ due to its mixed financial performance and fair valuation. Revenue continues to grow and that looks set to continue, with EBITDA guidance for 2025 also pointing higher. Shares aren't cheap, but they certainly don't look expensive on an absolute basis. Long-term, I believe the firm will be just fine, but it's not cheap enough to warrant a bullish rating. Read the full article on Seeking Alpha
Seeking Alpha Feb 21

Acushnet Holdings Q4 Preview: Solid Growth Ahead And Initiate With 'Buy'

Summary Acushnet Holdings Corp. is a leader in the golf industry, focusing on premium products, strong brand strategy, and dedicated golfers, warranting a Buy rating with an $82 target price. The company excels by targeting dedicated golfers, prioritizing product quality, and leveraging endorsements from elite players to build brand prestige and customer loyalty. Robust financial management, solid Q3-FY24 results, and a healthy balance sheet support sustainable GOLF growth, with FY24 revenue expected to grow between 3.2% to 5.3%. Potential risks include weather, economic cycles, competition, tariffs, and foreign exchange, but Acushnet's strong market positioning and diversified manufacturing mitigate these concerns. Read the full article on Seeking Alpha
Seeking Alpha Nov 26

Acushnet In Q3: A Hole-In One Business But Shares Seem Dear

Summary Acushnet, owner of premium golf brands like Titleist and FootJoy, shows strong sales growth and operating margins but faces high interest expenses impacting net income. Despite robust financials and a narrow economic moat, Acushnet's shares are overvalued by 13% according to DCF analysis. The company's premium pricing strategy and strong brand reputation drive profitability, but cyclical demand and competitive pressures pose risks to the business. Acushnet's solid liquidity and cash flow generation are commendable, but the current steep valuation reduces opportunities for GARP investors. Hold rating issued. Read the full article on Seeking Alpha

Kazanç ve Gelir Büyüme Tahminleri

NYSE:GOLF - Analistlerin gelecek tahminleri ve geçmiş finansal verileri (USD Millions )
TarihGelirKazançlarSerbest Nakit AkışıFaaliyetlerden NakitAvg. Analist Sayısı
12/31/20282,828249N/AN/A1
12/31/20272,7542412392988
12/31/20262,6752282082838
3/31/20262,60817189171N/A
12/31/20252,559189120194N/A
9/30/20252,527222110194N/A
6/30/20252,49023097175N/A
3/31/20252,453226156234N/A
12/31/20242,457214170245N/A
9/30/20242,425189246321N/A
6/30/20242,398190284354N/A
3/31/20242,403193275349N/A
12/31/20232,382198271372N/A
9/30/20232,416225128288N/A
6/30/20232,381220-16142N/A
3/31/20232,351212-13910N/A
12/31/20222,270199-194-68N/A
9/30/20222,243173-77-25N/A
6/30/20222,2071602571N/A
3/31/20222,173175137180N/A
12/31/20212,148179277314N/A
9/30/20212,148227349377N/A
6/30/20212,109251391418N/A
3/31/20211,784172282307N/A
12/31/20201,61296240264N/A
9/30/20201,56092176206N/A
6/30/20201,494596193N/A
3/31/20201,65695119152N/A
12/31/20191,681121N/A134N/A
9/30/20191,656115N/A129N/A
6/30/20191,61092N/A139N/A
3/31/20191,62693N/A161N/A
12/31/20181,634100N/A164N/A
9/30/20181,642107N/A121N/A
6/30/20181,619109N/A127N/A
3/31/20181,568102N/A110N/A
12/31/20171,56099N/A-27N/A
9/30/20171,53984N/A-36N/A
6/30/20171,53165N/A-41N/A
3/31/20171,56650N/A-25N/A
12/31/20161,57223N/A104N/A
9/30/20161,5630N/A104N/A
6/30/20161,543-8N/A111N/A
3/31/20161,527-9N/A98N/A
12/31/20151,503-15N/A92N/A

Analist Gelecek Büyüme Tahminleri

Kazançlar ve Tasarruf Oranları: GOLF 'nin tahmini kazanç büyümesi (yıllık 15.4% ) tasarruf oranının ( 3.5% ) üzerindedir.

Kazançlar ve Piyasa: GOLF şirketinin kazançlarının (yıllık 15.4% ) US pazarından (yıllık 16.8% ) daha yavaş büyümesi öngörülüyor.

Yüksek Büyüme Kazançları: GOLF şirketinin kazançlarının artması bekleniyor, ancak önemli ölçüde.

Gelir ve Pazar: GOLF şirketinin gelirinin (yıllık 3% ) US pazarından (yıllık 11.6% ) daha yavaş büyümesi öngörülüyor.

Yüksek Büyüme Geliri: GOLF şirketinin gelirinin (yıllık 3% ) yıllık 20% oranından daha yavaş büyümesi öngörülüyor.


Hisse Başına Kazanç Büyüme Tahminleri


Gelecekteki Özkaynak Getirisi

Gelecekteki ROE: GOLF 'in Özsermaye Getirisi'nin 3 yıl içinde yüksek olması tahmin ediliyor ( 28.2 %)


Büyüyen şirketleri keşfedin

Şirket Analizi ve Finansal Veri Durumu

VeriSon Güncelleme (UTC saati)
Şirket Analizi2026/05/20 11:27
Gün Sonu Hisse Fiyatı2026/05/20 00:00
Kazançlar2026/03/31
Yıllık Kazançlar2025/12/31

Veri Kaynakları

Şirket analizimizde kullanılan veriler S&P Global Market Intelligence LLC'den alınmıştır. Bu raporu oluşturmak için analiz modelimizde aşağıdaki veriler kullanılmıştır. Veriler normalize edilmiştir, bu da kaynağın mevcut olmasından kaynaklanan bir gecikmeye neden olabilir.

PaketVeriZaman ÇerçevesiÖrnek ABD Kaynağı *
Şirket Finansalları10 yıl
  • Gelir tablosu
  • Nakit akış tablosu
  • Bilanço
Analist Konsensüs Tahminleri+3 yıl
  • Finansal tahminler
  • Analist fiyat hedefleri
Piyasa Fiyatları30 yıl
  • Hisse senedi fiyatları
  • Temettüler, Bölünmeler ve Eylemler
Sahiplik10 yıl
  • En büyük hissedarlar
  • İçeriden öğrenenlerin ticareti
Yönetim10 yıl
  • Liderlik ekibi
  • Yönetim Kurulu
Önemli Gelişmeler10 yıl
  • Şirket duyuruları

* ABD menkul kıymetleri için örnek, ABD dışı için eşdeğer düzenleyici formlar ve kaynaklar kullanılmıştır.

Belirtilmediği sürece tüm finansal veriler yıllık bir döneme dayanmaktadır ancak üç ayda bir güncellenmektedir. Bu, İzleyen On İki Ay (TTM) veya Son On İki Ay (LTM) Verileri olarak bilinir. Daha fazla bilgi edinin.

Analiz Modeli ve Kar Tanesi

Bu raporu oluşturmak için kullanılan analiz modelinin ayrıntılarına GitHub sayfamızdan ulaşabilirsiniz, ayrıca raporlarımızı nasıl kullanacağınızı anlatan kılavuzlarımız ve Youtube'da eğitim videolarımız da bulunmaktadır.

Simply Wall St analiz modelini tasarlayan ve oluşturan dünya standartlarındaki ekip hakkında bilgi edinin.

Endüstri ve Sektör Metrikleri

Sektör ve bölüm metriklerimiz Simply Wall St tarafından her 6 saatte bir hesaplanmaktadır, sürecimizin ayrıntıları Github'da mevcuttur.

Analist Kaynakları

Acushnet Holdings Corp. 18 Bu analistlerden 8, raporumuzun girdisi olarak kullanılan gelir veya kazanç tahminlerini sunmuştur. Analistlerin gönderimleri gün boyunca güncellenmektedir.

AnalistKurum
Casey AlexanderCompass Point Research & Trading, LLC
Andrew BurnsD.A. Davidson & Co.
William SchmitzDeutsche Bank