FUL

FUL

USD

H. B. Fuller Company Common Stock

$54.320+0.050 (0.092%)

リアルタイム価格

素材
特殊化学品
米国

価格チャート

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主要指標

市場指標
企業ファンダメンタルズ
取引統計

市場指標

始値

$54.270

高値

$54.900

安値

$53.960

出来高

0.05M

企業ファンダメンタルズ

時価総額

2.9B

業種

特殊化学品

United States

取引統計

平均出来高

0.56M

取引所

NYQ

通貨

USD

52週レンジ

安値 $47.56現在値 $54.320高値 $87.67

AI分析レポート

最終更新: 2025年4月29日
AIによる生成データソース: Yahoo Finance, Bloomberg, SEC

FUL: H. B. Fuller Company Common Stock - Analyzing Recent Moves & What Might Come Next

Stock Symbol: FUL Generate Date: 2025-04-29 21:44:56

Let's break down what's been happening with H.B. Fuller stock lately, looking at the news, how the price has moved, and what some predictions are saying.

Recent News Buzz: A Mixed Bag

The news flow around H.B. Fuller has been a bit of a push and pull. On the positive side, the company recently announced they're bumping up their quarterly cash dividend by a decent 5.6 percent. That's usually seen as a good sign, suggesting confidence from management. They also launched a new, environmentally friendlier roofing adhesive product, which sounds innovative and could be a plus for their construction segment.

However, there's also been some less cheerful news. JP Morgan, a big investment bank, cut its price target for FUL stock, citing concerns about slowing sales growth, especially in their Health, Hygiene, and Consumable segment. They even maintained an "Underweight" rating, which is basically analyst speak for "expect this stock to underperform." This kind of analyst downgrade can definitely weigh on investor sentiment.

Adding to the picture, the company's first-quarter results showed net revenue down slightly year-over-year, though organic revenue (which strips out things like currency effects and acquisitions) was up a bit. Earnings per share looked okay on an adjusted basis, but reported net income was relatively low. So, the financial results themselves were a bit mixed – not a disaster, but not exactly blowing the doors off either.

Putting it together, the news gives us conflicting signals: shareholder-friendly actions and product innovation versus analyst caution and some revenue headwinds.

Checking the Price Chart: A Downward Slide, Then Sideways

Looking at the stock's price action over the last few months tells a story of decline. Back in late January, the stock was trading in the low $60s. Since then, it's seen a pretty significant drop, hitting lows in the high $40s and low $50s in April.

More recently, over the last few weeks, the price seems to have stabilized somewhat, trading mostly in the low to mid-$50 range. There was a sharp jump and fall around the time of the earnings report and analyst downgrades in late March, showing how sensitive the stock is to news. The current price is sitting right around the $54 mark.

So, the trend over the longer period (last few months) has been down, but the very recent action looks more like sideways consolidation after that big drop.

What the AI Thinks: A Slight Dip Ahead?

An AI model prediction suggests the stock might see a small dip in the next couple of days. It predicts a 0% change for today (which is already mostly passed), followed by a potential drop of around 1.4% tomorrow and another 2.1% the day after.

It's worth noting that AI predictions can vary, and this particular one doesn't come with a high confidence score based on other data sources, but it does lean towards a bit more downward pressure in the immediate future.

Putting It All Together: What Might Be Next?

Okay, let's try to make sense of these different pieces. We have positive news (dividend, new product) clashing with negative news (analyst downgrades, revenue concerns). The price has fallen significantly but is currently trading sideways. And an AI model is hinting at a slight dip coming up.

This isn't a crystal-clear picture. The analyst downgrades and revenue dip are definite concerns, suggesting potential headwinds for the company's growth. The price action reflects this past negativity. However, the dividend increase and new product show the company is still active and trying to innovate.

Other data points (like the recommendation data provided) actually show some strong technical indicators suggesting bullish momentum and positive sentiment from analysts overall (despite the specific JP Morgan downgrade). This creates a bit of a conflict: technicals and broader analyst sentiment seem more positive for the short term, while fundamentals (revenue growth, debt) and the specific AI prediction are more cautious.

Given these mixed signals, the apparent near-term outlook for FUL seems uncertain. It's not a screaming "buy" because of the fundamental concerns and analyst cuts, but it's also not a clear "sell" given the technical strength and other positive news.

Potential Considerations (If you were looking to trade):

  • If leaning bullish (perhaps based on technicals/broader analyst view): One might consider the current price area (around $54) as a potential entry point, as it aligns with some suggested levels. The idea here would be to play for a short-term bounce or continuation of any technical momentum.
  • Managing Risk: If entering, setting a stop-loss is crucial. A potential level to watch could be around $51.86, which is below some recent lows and a suggested support level. If the price falls below that, it might signal further weakness.
  • Potential Upside Target: If the stock does move up, a potential area to watch for taking profits could be around $55.38, which might act as a resistance level.

Important Caveat: These are just potential ideas based on interpreting the provided data, which itself contains conflicting signals. The fundamental picture has challenges, and analyst views are mixed.

A Bit About the Company

Remember, H.B. Fuller is a specialty chemicals company focused on adhesives, sealants, and related products. They serve various industries like packaging, construction, and electronics. So, news about specific segments, like the new roofing adhesive or sales trends in health/hygiene, directly impacts their business prospects. Their industry can be sensitive to economic cycles and construction activity.


Important Note: This analysis is based solely on the provided data and is for informational purposes only. It is not financial advice. Stock markets are volatile, and prices can move unexpectedly. Before making any investment decisions, you should conduct your own thorough research and consider consulting with a qualified financial advisor. Investing involves risk, including the potential loss of principal.

関連ニュース

BusinessWire

H.B. Fuller Increases Quarterly Dividend by 5.6 Percent

H.B. Fuller Company (NYSE:FUL) today announced that its Board of Directors approved an increase in the Company's regular quarterly cash dividend from $0.2225 per share of common stock to $0.2350 per share of common

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H.B. Fuller Increases Quarterly Dividend by 5.6 Percent
Analyst Upgrades

JP Morgan Slashes H.B. Fuller Price Forecast For Softening Growth

JP Morgan analyst cuts H.B. Fuller's price forecast to $50, citing declining sales in the Health, Hygiene, and Consumable segment.

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JP Morgan Slashes H.B. Fuller Price Forecast For Softening Growth
BusinessWire

H.B. Fuller Launches Industry-Changing Commercial Roofing Adhesive with First-of-its-Kind Canister Propellent Technology

Millennium PG-1 EF ECO2 is an equipment-free, canister-based sprayable adhesive that uses a patented blend of naturally occurring environmental gases as a blowing agent, eliminating the need for chemical

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H.B. Fuller Launches Industry-Changing Commercial Roofing Adhesive with First-of-its-Kind Canister Propellent Technology
Analyst Upgrades

JP Morgan Maintains Underweight on H.B. Fuller, Lowers Price Target to $50

JP Morgan analyst Jeffrey Zekauskas maintains H.B. Fuller with a Underweight and lowers the price target from $60 to $50.

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JP Morgan Maintains Underweight on H.B. Fuller, Lowers Price Target to $50
BusinessWire

H.B. Fuller Reports First Quarter 2025 Results

Net Revenue of $789 million, down 2.7% year-on-year; Organic revenue up 1.9% year-on-year Net income of $13 million; Reported EPS (diluted) of $0.24; Adjusted EPS (diluted) of $0.54 Adjusted EBITDA of $114 million;

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H.B. Fuller Reports First Quarter 2025 Results

AI予測Beta

AI推奨

弱気

更新日時: 2025年5月3日 20:30

弱気中立強気

57.8% 信頼度

リスクと取引

リスクレベル3/5
中リスク
適しているのは
中程度
取引ガイド

エントリーポイント

$54.14

利確

$55.38

損切り

$52.01

主要因子

DMIは弱気トレンドを示しており (ADX:9.4、+DI:5.0、-DI:6.5)、注意が必要です
現在の価格はサポートレベル(54.33ドル)に非常に接近しており、強力な買い機会を示唆しています
出来高は平均(6,187)の4.7倍で、極めて強い買い圧力を示しています
MACD -0.0269はシグナルライン-0.0252の下にあり、弱気クロスオーバーを示しています

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