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Ecolab Inc. (ECL)

NYSE - NYSE Delayed Price. Currency in USD
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220.21+0.86 (+0.39%)
At close: 4:03PM EDT
219.49 -0.72 (-0.33%)
After hours: 06:05PM EDT
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Bullishpattern detected
Price Crosses Moving Average

Price Crosses Moving Average

Previous Close219.35
Open220.91
Bid219.76 x 900
Ask219.80 x 800
Day's Range219.37 - 222.22
52 Week Range181.25 - 231.25
Volume2,130,730
Avg. Volume929,858
Market Cap62.999B
Beta (5Y Monthly)1.02
PE Ratio (TTM)60.45
EPS (TTM)3.64
Earnings DateOct 26, 2021
Forward Dividend & Yield1.92 (0.87%)
Ex-Dividend DateSep 13, 2021
1y Target Est231.88
Fair Value is the appropriate price for the shares of a company, based on its earnings and growth rate also interpreted as when P/E Ratio = Growth Rate. Estimated return represents the projected annual return you might expect after purchasing shares in the company and holding them over the default time horizon of 5 years, based on the EPS growth rate that we have projected.
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Overvalued
-7% Est. Return

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    Weekly Stock ListWe recently raised our rating on the Basic Materials sector to Over-Weight. Despite challenges presented by the Delta variant and the tenacity of COVID-19, the global economy continues to reopen, spurring demand for goods and underscoring scarcity across the supply chain. In this environment, we look for demand for commodities to remain robust and pricing to remain strong. The sector accounts for 2.5% of the S&P 500, and includes industries such as chemicals, paper, metals and mining. Over the past five years, the weighting has ranged from 2% to 4%. We think investors should consider allocating 3% of their diversified portfolios to stocks in this sector. The sector is underperforming thus far in 2021, with a gain of 17.7%. It outperformed in 2020, with a gain of 18.1%, and underperformed in 2019, with a gain of 21.9%. Here is how we use our analysts' Materials sector ideas in our Focus List and Model Portfolios.
    Rating
    Fair Value
    Economic Moat
    5 days agoArgus Research
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