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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?
什麼是價值股?
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.
與同行業公司的股票價格相比,價值股票的價格通常較低。這表明該公司的價值可能被低估,因為投資者並沒有對此類公司表達盡可能多的興趣。檢查價值的最常用方法是使用價格對盈利倍數或市盈率(P/E 倍數)。低 P/E 倍數表明股票價值被低估。
Benzinga Insights has compiled a list of value stocks in the energy sector that may be worth watching:
本辛加洞察已經編制了能源領域的價值股清單,可能值得關注:
- 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 離岸 (紐約證交所:WTI)-P/E: 3.76
- Equor (紐約證券交易所:歐洲證券交易所)-P/E: 3.98
- 放大能量 (紐約證券交易所:安比)-P/E: 5.52
- 奧溫蒂夫 (紐約證券交易所:OVV)-P/E:3.56
- 戈拉液化天然氣 (納斯達克: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.
W&T 離岸公司報告了第三季度的每股盈利為 0.33 美元,與第二季度相比下降了 75.0%,這是 1.32。Equinor 第三季度的每股盈利為 2.13 美元,而第二季度則為 1.56 美元。其最近期股息收益率為 2.11%,較上一季度的 7.72% 下降 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,放大能源的每股收益增加,第二季度為 0.73 美元,現在為 1.17 美元。該公司最近一次的股息收益率為 9.62%,較上季度的 10.51% 下降 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,奧溫蒂夫報告的每股收益為 1.44 美元,而第二季度每股盈利為 2.41 美元。最近一次的股息收益率為 1.8%,較上一季度的 2.06% 下降 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.
戈拉液化天然氣報告第三季度每股盈利為 1.31 美元,與第二季度相比下降了 38.5%,即 2.13。其最近期股息收益率為 3.0%,由上一季的 3.0%(「、'未改變')下跌 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.
意義: 價值型股票可能需要一些時間才能從低估的頭寸反彈。投資於價值型股票的風險是,這種出現可能永遠不會實現。
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moomoo是Moomoo Technologies Inc.公司提供的金融資訊和交易應用程式。
在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
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., 是關聯公司。
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