Ultrapar Participacoes SA ADR (UGP) is a key player listed on the NYSE within the Oil & Gas Refining & Marketing sector. As an important company in its field, Ultrapar focuses on refining and marketing oil products, although details on specific major products or services remain undisclosed.
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Recent Performance and Market Conditions:
The past year has been particularly challenging for Ultrapar Participacoes SA ADR. The stock price dropped by 52.38%, currently sitting at $2.60. Over the last month, the stock has seen a decline of 0.66%, and it was down by 0.05% over the past week.
Sector trends also show significant underperformance, with average one-month returns for similar stocks plummeting by 20.25%.
Stock Target Advisor’s Analysis on UGP:
Stock Target Advisor’s rating for Ultrapar is “Very Bearish,” reflecting zero positive signals against five negative ones. The analysis identifies poor risk-adjusted returns, high volatility, below-median dividend and total returns, and sluggish revenue growth.
Analyst sentiment on UGP is predominantly neutral or cautious. The stock has a “Hold” consensus rating from analysts, with an average target price of $5.20 over the next 12 months. Notable firms like Goldman Sachs and HSBC have echoed these sentiments, with Goldman recently adjusting its target price from $5.9 to $5.2.
Conclusion:
Ultrapar Participacoes SA ADR (UGP) remains a topic of interest among investors despite its underwhelming recent performance and bearish outlook. With quarterly earnings set to release on January 3, 2025, market participants are eager to glean insights into the company’s trajectory. While risks abound, a focus on strategic growth initiatives and broader sector trends could determine UGP’s future performance.
Muzzammil is a content writer at Stock Target Advisor. He has been writing stock news and analysis at Stock Target Advisor since 2023 and has worked in the financial domain in various roles since 2020. He has previously worked on an equity research firm that analyzed companies listed on the stock markets in the U.S. and Canada and performed fundamental and qualitative analyses of management strength, business strategy, and product/services forecast as indicated by major brokers covering the stock.