VFC

VFC

USD

V.F. Corporation Common Stock

$12.630+0.080 (0.637%)

실시간 가격

Consumer Cyclical
Apparel Manufacturing
미국

가격 차트

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핵심 지표

시장 지표
기업 기본 정보
거래 통계

시장 지표

시가

$12.550

고가

$12.760

저가

$12.470

거래량

2.20M

기업 기본 정보

시가총액

4.9B

산업

Apparel Manufacturing

국가

United States

거래 통계

평균 거래량

10.85M

거래소

NYQ

통화

USD

52주 범위

저가 $9.41현재가 $12.630고가 $29.02

AI 분석 리포트

마지막 업데이트: 2025년 5월 28일
AI 생성데이터 소스: Yahoo Finance, Bloomberg, SEC

VFC: V.F. Corporation Common Stock – Navigating Recent Headwinds and Future Paths

Stock Symbol: VFC Generate Date: 2025-05-28 18:19:44

Let's break down what's been happening with V.F. Corporation, the company behind brands like Vans and The North Face, and what the road ahead might look like.

Recent News Buzz: A Wave of Price Target Cuts

The news flow for VFC has been pretty consistent lately, and not in a good way. Over the past couple of weeks, a whole bunch of analysts from major firms like Telsey Advisory Group, Barclays, Baird, BMO Capital, Stifel, Truist Securities, Wells Fargo, and JP Morgan have all done one thing: they've lowered their price targets for VFC.

What does this mean? Essentially, these experts are saying they expect the stock to trade at a lower price in the future than they previously thought. While some still maintain "Buy" or "Overweight" ratings (like Stifel and Barclays), the general sentiment is clearly leaning negative. The fact that so many analysts are cutting targets around the same time, especially after some had raised them earlier in May (UBS, Wells Fargo), suggests a shift in their outlook. It's a clear signal that the market's view on VFC's near-term value has softened. There was also an older piece about footwear brands asking Trump for tariff exemptions, which is a broader industry issue, but the recent analyst actions are much more direct for VFC.

Price Check: A Rocky Ride Down

Looking at the stock's journey over the last few months, it's been quite a descent. Back in late February, VFC was trading around $24. Then, in early March, it started a significant slide, dropping into the teens. A particularly sharp dip occurred in early April, pushing the price down to the $10-$12 range.

More recently, the stock saw a bit of a rebound in mid-May, touching nearly $15. However, that didn't last. The price has since pulled back, especially around May 21st and 22nd, which aligns perfectly with all those analyst price target cuts we just talked about. Today, May 28th, the stock is trading around $13.19. This recent price action, particularly the drop following the analyst downgrades, confirms that the market is reacting to the negative sentiment.

Outlook & Ideas: Navigating the Current Climate

Putting the pieces together, the picture for VFC in the near term seems to lean towards caution. The overwhelming analyst sentiment, marked by numerous price target reductions, combined with the recent downward pressure on the stock price, suggests that VFC is facing some headwinds.

The AI prediction for the next couple of days also points to a slight downward trend: a 0.26% dip tomorrow and a more significant 3.19% drop the day after. This aligns with the general negative sentiment from the analysts.

Given this, the current situation might favor a "hold" or "wait-and-see" approach for those already invested, and perhaps caution for new entries.

  • Potential Entry Consideration: If you're considering getting in, the current price around $13.19 is close to the AI's projected support level of $0.99 (though this seems unusually low and might be a data anomaly, so use extreme caution here). A more realistic support level, looking at the historical data, might be around the $11-$12 range where it found some footing in April. However, with the current negative sentiment, waiting for a clearer sign of stabilization or a positive catalyst might be a more prudent move. The recommendation data suggests potential entry points around $13.36 to $13.50, but this clashes with the overall negative sentiment and AI prediction for price change direction. This discrepancy highlights the need for careful consideration.

  • Potential Exit/Stop-Loss Consideration: For those holding, a potential stop-loss level could be set below recent lows, perhaps around $11.50 or even lower, like the $10.07 low from early April, to protect against further significant declines. The recommendation data suggests a stop-loss at $12.22, which is a reasonable level given recent trading. A take-profit level is suggested at $13.82, but with the current downward pressure, reaching this might be challenging in the immediate future.

The overall recommendation score is 50.39 with "Bullish Momentum" tags, but this is heavily influenced by technical indicators like DMI, Bollinger Bands, OBV, and MACD. However, the fundamental scores are very low (0.12) due to high P/E (75.3x, suggesting overvaluation), negative revenue growth, low Return on Equity, and high debt. The AI prediction score is also quite low (1.55) and indicates downward pressure. This mix of strong technicals but weak fundamentals and a negative AI price change prediction creates a complex picture. The "Bullish Momentum" might be a short-term technical bounce within a larger downtrend.

Company Context: Apparel in a Shifting Market

V.F. Corporation operates in the Apparel Manufacturing sector, a consumer cyclical industry. This means its performance is often tied to consumer spending habits. With 16,200 employees, it's a significant player. The company's description highlights its diverse brand portfolio, from outdoor gear (The North Face, Timberland) to streetwear (Vans) and workwear (Dickies).

The high debt-to-equity ratio (360.78) is a notable fundamental concern, as is the negative revenue growth. These factors, combined with the high P/E ratio, suggest that while the brands are well-known, the company faces fundamental challenges that are likely contributing to the analyst downgrades. The news about tariff exemptions for footwear brands is a reminder that broader economic and trade policies can also impact VFC, given its extensive product lines.


Disclaimer: This analysis is for informational purposes only and should not be considered financial advice. Investing in stocks involves risks, and past performance is not indicative of future results. Always conduct your own thorough research and consult with a qualified financial professional before making any investment decisions.

관련 뉴스

Analyst Upgrades

Telsey Advisory Group Maintains Market Perform on VF, Lowers Price Target to $14

Telsey Advisory Group analyst Dana Telsey maintains VF with a Market Perform and lowers the price target from $17 to $14.

더 보기
Telsey Advisory Group Maintains Market Perform on VF, Lowers Price Target to $14
Analyst Upgrades

Barclays Maintains Overweight on VF, Lowers Price Target to $16

Barclays analyst Adrienne Yih maintains VF with a Overweight and lowers the price target from $19 to $16.

더 보기
Barclays Maintains Overweight on VF, Lowers Price Target to $16
Analyst Upgrades

Baird Maintains Neutral on VF, Lowers Price Target to $14

Baird analyst Jonathan Komp maintains VF with a Neutral and lowers the price target from $17 to $14.

더 보기
Baird Maintains Neutral on VF, Lowers Price Target to $14
Analyst Upgrades

BMO Capital Maintains Market Perform on VF, Lowers Price Target to $15

BMO Capital analyst Simeon Siegel maintains VF with a Market Perform and lowers the price target from $25 to $15.

더 보기
BMO Capital Maintains Market Perform on VF, Lowers Price Target to $15
Analyst Upgrades

Stifel Maintains Buy on VF, Lowers Price Target to $15

Stifel analyst Jim Duffy maintains VF with a Buy and lowers the price target from $28 to $15.

더 보기
Stifel Maintains Buy on VF, Lowers Price Target to $15
Analyst Upgrades

Truist Securities Maintains Hold on VF, Lowers Price Target to $13

Truist Securities analyst Joseph Civello maintains VF with a Hold and lowers the price target from $24 to $13.

Analyst Upgrades

Wells Fargo Maintains Equal-Weight on VF, Lowers Price Target to $12

Wells Fargo analyst Ike Boruchow maintains VF with a Equal-Weight and lowers the price target from $13 to $12.

AI 예측Beta

AI 추천

약세

업데이트 시간: 2025년 6월 13일 오전 01:26

약세중립강세

61.7% 신뢰도

리스크 & 트레이딩

리스크 수준3/5
중위험
적합 대상
공격적
트레이딩 가이드

진입점

$12.52

익절

$12.88

손절

$11.83

핵심 요소

PDI 7.3이(가) ADX 13.6과 함께 MDI 6.1 위에 있어 강세 추세를 시사합니다.
현재 가격이 지지선($12.58)에 접근하고 있어 모니터링할 가치가 있습니다.
거래량은 평균(92,228)의 6.4배로 극도로 강력한 매수 압력을 나타냅니다.
MACD -0.0117이(가) 신호선 -0.0146 위에 있어 강세 교차를 나타냅니다.

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