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5 Value Stocks In The Energy Sector
5 Value Stocks In The Energy Sector
What are Value Stocks?
A value stock traditionally has a lower price when compared to stock prices of companies in the same industry. This indicates that the company may be undervalued, as investors are not expressing as much interest in such companies. The most commonly used way to check for value is with the price-to-earnings multiple, or P/E. A low P/E multiple is a good indication that the stock is undervalued.
Benzinga Insights has compiled a list of value stocks in the energy sector that may be worth watching:
- W&T Offshore (NYSE:WTI) - P/E: 3.76
- Equinor (NYSE:EQNR) - P/E: 3.98
- Amplify Energy (NYSE:AMPY) - P/E: 5.52
- Ovintiv (NYSE:OVV) - P/E: 3.56
- Golar LNG (NASDAQ:GLNG) - P/E: 3.11
W&T Offshore has reported Q3 earnings per share at $0.33, which has decreased by 75.0% compared to Q2, which was 1.32. Equinor's earnings per share for Q3 sits at $2.13, whereas in Q2, they were at 1.56. Its most recent dividend yield is at 2.11%, which has decreased by 5.61% from 7.72% in the previous quarter.
This quarter, Amplify Energy experienced an increase in earnings per share, which was $0.73 in Q2 and is now $1.17. The company's most recent dividend yield sits at 9.62%, which has decreased by 0.89% from 10.51% last quarter.
Most recently, Ovintiv reported earnings per share at $1.44, whereas in Q2 earnings per share sat at $2.41. Its most recent dividend yield is at 1.8%, which has decreased by 0.26% from 2.06% in the previous quarter.
Golar LNG has reported Q3 earnings per share at $1.31, which has decreased by 38.5% compared to Q2, which was 2.13. Its most recent dividend yield is at 3.0%, which has ('', 'not changed') by 0.0% from 3.0% in the previous quarter.
The Significance: A value stock may need some time to rebound from its undervalued position. The risk of investing in a value stock is that this emergence may never materialize.
What are Value Stocks?
什么是价值股?
A value stock traditionally has a lower price when compared to stock prices of companies in the same industry. This indicates that the company may be undervalued, as investors are not expressing as much interest in such companies. The most commonly used way to check for value is with the price-to-earnings multiple, or P/E. A low P/E multiple is a good indication that the stock is undervalued.
传统上,与同行业公司的股票价格相比,价值股票的价格较低。这表明该公司的估值可能被低估了,因为投资者对此类公司的兴趣不大。最常用的价值检查方法是市盈倍数或市盈率。低市盈倍数很好地表明股票被低估了。
Benzinga Insights has compiled a list of value stocks in the energy sector that may be worth watching:
Benzinga Insights编制了一份可能值得关注的能源板块价值股清单:
- W&T Offshore (NYSE:WTI) - P/E: 3.76
- Equinor (NYSE:EQNR) - P/E: 3.98
- Amplify Energy (NYSE:AMPY) - P/E: 5.52
- Ovintiv (NYSE:OVV) - P/E: 3.56
- Golar LNG (NASDAQ:GLNG) - P/E: 3.11
- W&T 离岸 (纽约证券交易所代码:WTI)-市盈率:3.76
- Equinor (纽约证券交易所代码:EQNR)-市盈率:3.98
- 放大能量 (纽约证券交易所:AMPY)-市盈率:5.52
- 奥文蒂夫 (纽约证券交易所代码:OVV)-市盈率:3.56
- 戈拉尔液化天然气 (纳斯达克股票代码:GLNG)-市盈率:3.11
W&T Offshore has reported Q3 earnings per share at $0.33, which has decreased by 75.0% compared to Q2, which was 1.32. Equinor's earnings per share for Q3 sits at $2.13, whereas in Q2, they were at 1.56. Its most recent dividend yield is at 2.11%, which has decreased by 5.61% from 7.72% in the previous quarter.
W&T Offshore公布的第三季度每股收益为0.33美元,与第二季度的1.32美元相比下降了75.0%。Equinor第三季度的每股收益为2.13美元,而在第二季度,每股收益为1.56美元。其最新的股息收益率为2.11%,较上一季度的7.72%下降了5.61%。
This quarter, Amplify Energy experienced an increase in earnings per share, which was $0.73 in Q2 and is now $1.17. The company's most recent dividend yield sits at 9.62%, which has decreased by 0.89% from 10.51% last quarter.
本季度,Amplify Energy的每股收益有所增长,第二季度为0.73美元,现在为1.17美元。该公司最新的股息收益率为9.62%,较上个季度的10.51%下降了0.89%。
Most recently, Ovintiv reported earnings per share at $1.44, whereas in Q2 earnings per share sat at $2.41. Its most recent dividend yield is at 1.8%, which has decreased by 0.26% from 2.06% in the previous quarter.
最近,Ovintiv公布的每股收益为1.44美元,而第二季度每股收益为2.41美元。其最新的股息收益率为1.8%,较上一季度的2.06%下降了0.26%。
Golar LNG has reported Q3 earnings per share at $1.31, which has decreased by 38.5% compared to Q2, which was 2.13. Its most recent dividend yield is at 3.0%, which has ('', 'not changed') by 0.0% from 3.0% in the previous quarter.
Golar LNG公布的第三季度每股收益为1.31美元,与第二季度2.13美元相比下降了38.5%。其最新的股息收益率为3.0%,(“,'未变')从上一季度的3.0%上升了0.0%。
The Significance: A value stock may need some time to rebound from its undervalued position. The risk of investing in a value stock is that this emergence may never materialize.
意义: 价值股可能需要一些时间才能从其被低估的位置反弹。投资价值股票的风险在于,这种崛起可能永远不会实现。
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moomoo是Moomoo Technologies Inc.公司提供的金融信息和交易应用程序。
在美国,moomoo上的投资产品和服务由Moomoo Financial Inc.提供,一家受美国证券交易委员会(SEC)监管的持牌主体。 Moomoo Financial Inc.是金融业监管局(FINRA)和证券投资者保护公司(SIPC)的成员。
在新加坡,moomoo上的投资产品和服务是通过Moomoo Financial Singapore Pte. Ltd.提供,该公司受新加坡金融管理局(MAS)监管(牌照号码︰CMS101000) ,持有资本市场服务牌照 (CMS) ,持有财务顾问豁免(Exempt Financial Adviser)资质。本内容未经新加坡金融管理局的审查。
在澳大利亚,moomoo上的金融产品和服务是通过Futu Securities (Australia) Ltd提供,该公司是受澳大利亚证券和投资委员会(ASIC)监管的澳大利亚金融服务许可机构(AFSL No. 224663)。请阅读并理解我们的《金融服务指南》、《条款与条件》、《隐私政策》和其他披露文件,这些文件可在我们的网站 https://www.moomoo.com/au中获取。
在加拿大,通过moomoo应用提供的仅限订单执行的券商服务由Moomoo Financial Canada Inc.提供,并受加拿大投资监管机构(CIRO)监管。
在马来西亚,moomoo上的投资产品和服务是通过Moomoo Securities Malaysia Sdn. Bhd. 提供,该公司受马来西亚证券监督委员会(SC)监管(牌照号码︰eCMSL/A0397/2024) ,持有资本市场服务牌照 (CMSL) 。本内容未经马来西亚证券监督委员会的审查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd., Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc.,和Moomoo Securities Malaysia Sdn. Bhd.是关联公司。
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