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Blackstone Inc.

BX

$126.91
2.06 (-1.6%)
polled · warming up

Aşağıda Blackstone Inc. (BX) için canlı hisse fiyatı, 1 yıllık grafik, 8 indikatör (RSI, MACD, Bollinger, MA, EMA, Stochastic, ATR, Hacim) ve karşılaştırma modu var. Portföyüne ekleyebilir, izleme listene yıldız atabilir veya fiyat alarmı kurabilirsin.

Blackstone Inc. (BX), United States merkezli bir Financial Services şirketidir. Asset Management alanında faaliyet gösteriyor ve yaklaşık 5,285 kişi istihdam ediyor. Son bir yılda BX, 101.73 ile 190.09 USD arasında işlem gördü. İz F/K oranı 32.54 civarında, piyasa değeri yaklaşık 155.12B USD. Şu anda %3.92 temettü verimi sunuyor.

Day
-1.60%
-2.06
Week
+3.10%
+3.82
Month
+2.52%
+3.12
Year
Prev close
$128.97
Volume (24h)
$569.94M
Market cap
$155.12B
Currency
USD

Puan

40/ 100 · Zayıf

Kapsam: 7/7
  • Değer27
  • Kalite82
  • Momentum17
  • Büyüme36
  • Risk71
  • Temettü25
  • Likidite19

Kamuya açık piyasa verisinin bileşik puanıdır. Sadece bilgi amaçlıdır — yatırım tavsiyesi değildir.

Trend projeksiyonu

Son trend devam ederse fiyat şu yönü gösterir.

YatayUyum 0%Hız +0.00% bar başına
+5 bar+20 bar+60 bar+120 bar
+5 bar
126.9107
+0.00%
Boğa148.432
Ayı108.5098
+20 bar
126.9116
+0.00%
Boğa173.6041
Ayı92.7775
+60 bar
126.912
+0.00%
Boğa218.355
Ayı73.7636
+120 bar
126.912
+0.00%
Boğa273.3864
Ayı58.9154

Doğrusal regresyon devamı — tahmin değildir, yatırım tavsiyesi değildir. ±1σ ≈ %68 aralık · ±2σ ≈ %95 aralık: ±0.035 USD.

Yorumlama

Bileşik sinyaller zayıf görünüyor. Güçlü yan: kalite ve zayıf yan: momentum. Fiyat son aralığın üst üçte birine yakın, trend yatay.

Tanımlayıcı gözlem — yatırım tavsiyesi değildir.

Puan dökümü

Her pillar'ın altındaki ham değerler — bileşik puanın neyi okuduğunu gör.

  • Değer
    27/100

    Değer kırılgan görünüyor — başlıca F/K (32.54).

    F/K:32.54P/B:11.91PEG:1.49
  • Kalite
    82/100

    Kalite güçlü görünüyor — başlıca Brüt marj (100.00%).

    ROE:29.53%ROA:13.03%Net kâr marjı:21.21%Brüt marj:100.00%
  • Momentum
    17/100

    Momentum kırılgan görünüyor — başlıca 52 haftalık değişim (-23.86%).

    52 haftalık değişim:-23.86%
  • Büyüme
    36/100

    Büyüme zayıf görünüyor — başlıca Gelir büyümesi (5.70%).

    Gelir büyümesi:5.70%Kâr büyümesi:3.90%
  • Risk
    71/100

    Risk sağlam görünüyor — başlıca Borç / özsermaye (72.02).

    Beta:1.58Borç / özsermaye:72.02Açığa satış oranı:3.13%
  • Temettü
    25/100

    Temettü kırılgan görünüyor — başlıca Dağıtım oranı (121.54%).

    Temettü verimi:3.92%Dağıtım oranı:121.54%
  • Likidite
    19/100

    Likidite kırılgan görünüyor — başlıca Cari oran (0.9).

    Cari oran:0.9Asit-test oranı:0.85

Kamuya açık piyasa verisinden türetilmiştir — bilgi amaçlı, yatırım tavsiyesi değildir.

Referans seviyeleri

Son aralıkta Fibonacci geri çekilme ve uzantıları.

60 bar

Sadece referans — yatırım tavsiyesi değildir.

Bu koordinatlar geçmiş işlem yoğunlaşmalarını tarif eder; alım veya satım önerisi değildir. Alım-satım kararından önce kendi araştırmanı yap.

  • DirençFib +%161.8 uzantı
    172.2444 USD
    +35.72% mevcuda göre
  • DirençFib +%100 uzantı
    156.85 USD
    +23.59% mevcuda göre
  • DirençFib +%61.8 uzantı
    147.3344 USD
    +16.09% mevcuda göre
  • DirençFib +%27.2 uzantı
    138.7155 USD
    +9.30% mevcuda göre
  • Şu anki
    126.91 USD
  • DestekFib %23.6 geri çekilme
    126.0612 USD
    -0.67% mevcuda göre
  • DestekFib %38.2 geri çekilme
    122.4244 USD
    -3.53% mevcuda göre
  • DestekFib %50 orta nokta
    119.485 USD
    -5.85% mevcuda göre
  • DestekFib %61.8 geri çekilme
    116.5456 USD
    -8.17% mevcuda göre
  • DestekFib %78.6 geri çekilme
    112.3607 USD
    -11.46% mevcuda göre
  • DestekFib −%27.2 uzantı
    100.2545 USD
    -21.00% mevcuda göre
  • DestekFib −%61.8 uzantı
    91.6356 USD
    -27.79% mevcuda göre
  • DestekFib −%100 uzantı
    82.12 USD
    -35.29% mevcuda göre

Financials

52w high
$190.09
52w low
$101.73
52w change
-23.86%
Day high
$131.00
Day low
$126.12
P/E (TTM)
32.54
Forward P/E
17.05
PEG
1.49
Price / Book
11.91
Beta (5Y)
1.58
Enterprise value
125.55B
EV / Revenue
8.72
EPS (TTM)
$3.90
Forward EPS
$7.44
Dividend yield
3.92%
Dividend rate
$4.97
Payout ratio
121.54%
Revenue (TTM)
14.4B
Total cash
2.61B
Total debt
15.42B
Debt / Equity
72.02
Current ratio
0.9
Quick ratio
0.85
Profit margin
21.21%
Gross margin
100.00%
Return on assets
13.03%
Return on equity
29.53%
Shares outstanding
742.18M
Float
746.23M
Sector: Financial ServicesIndustry: Asset ManagementHQ: United StatesEmployees: 5.29Kwww.blackstone.com

Blackstone Inc. is an alternative asset management firm specializing in private equity, venture capital, real estate, hedge fund solutions, credit, secondary funds of funds, public debt and equity and multi-asset class strategies. The firm typically invests in early-stage, seed, middle market, mature, late venture, growth capital, emerging growth, turnaround, and later stage companies. It also provide capital markets services. The real estate segment specializes in opportunistic, core+ investments as well as debt investment opportunities collateralized by commercial real estate, and stabilized income-oriented commercial real estate across North America, Europe and Asia. Within fund of fund investments, it seeks to invest in private equity funds, venture capital funds, mezzanine funds, distressed debt/turnaround funds, secondary investment funds & real estate funds. The firm's corporate private equity business pursues transactions throughout the world across a variety of transaction types, including large buyouts, recapitalization, special situations, distressed mortgage loans, mid-cap buyouts, buy and build platforms, which involves multiple acquisitions behind a single management team and platform, and growth equity/development projects involving significant majority stakes in portfolio companies and minority investments in operating companies, shipping, real estate, corporate or consumer loans, and alternative energy greenfield development projects in energy and power, property, dislocated markets, shipping opportunities, financial institution breakups, re-insurance, and improving freight mobility, financial services, cargo, data processing, oil & gas production, oil & gas refining, oil & gas storage, building products, home entertainment, B2B, consumer electronics, home supply store, lodging, commercial services & supplies, metal & mineral mining machinery, coal, hazardous waste collection, solid waste collection, waste water treatment, renewable electricity, equity REITs, power generation by nuclear & fossil fuels, personal loan services, chemicals, other specialty retail, biotech, pharmaceuticals, metal, aerospace, healthcare, cable, entertainment services, infrastructure services, transportation infrastructure, exhaust, life sciences, alternative carriers, infrastructure, system software, manufacturing services, enterprise tech and consumer, enterprise software & application, as well as consumer technologies. The firm considers investment in Asia, Latin America, Japan, Australia, South Korea, Singapore, Hong Kong, Africa, Middle East, Beijing, Shanghai, India, Belgium, France, Ireland, Luxembourg, Monaco, Netherlands, United Kingdom, North America and South America. It seeks to invest between $0.25 million and $900 million per transaction. It invests in companies with enterprise value between $500 million and $5000 million. It makes equity investments up to $300 million through fund of fund investments. It has a three year investment period. The firm prefers to take majority and minority stakes. Its hedge fund business manages a broad range of commingled and customized fund solutions and its credit business focuses on loans, and securities of non-investment grade companies spread across the capital structure including senior debt, subordinated debt, preferred stock and common equity. Blackstone Inc. through its subsidiary South City Projects (Kolkata) Limited offers residential and commercial real estate development services that include development of township, residential towers, malls, IT parks, stadiums, resorts, hospitals, and schools. Blackstone Inc. was founded in 1985 and is based in New York, New York with additional offices across Asia, Europe, North America and Central America.

Analyst & Risk

Consensus
Buy
Mean rating2.05 / 5
Analysts20
Next earnings2026-07-23
Strong buy 3Buy 9Hold 10
Analyst price target
$139.75
Mean target · 20 analysts
+10.1%
upside
Low $114.00Now $126.91High $184.00
Beta (vs S&P 500)
1.58
more volatile than market
52-week change
-23.86%
Short % of float
3.13%
Short ratio (days)
3.99
Debt / Equity
72.02
very high leverage
Current ratio
0.9
Quick ratio
0.85
ROE
29.53%
ROA
13.03%
PEG ratio
1.49
fair
EV / Revenue
8.72
Revenue growth
5.70%
Earnings growth
3.90%
Total cash
2.61B
Total debt
15.42B
Insider holdings
1.08%
Institutional
73.74%

Recent rating changes

  • 2026-07-17OppenheimerOutperformOutperformmain
  • 2026-07-16JP MorganNeutralNeutralmain
  • 2026-07-13Evercore ISI GroupOutperformOutperformmain
  • 2026-07-13RBC CapitalOutperformOutperformmain
  • 2026-07-09CitizensMarket OutperformMarket Outperformmain
  • 2026-07-09BarclaysEqual-WeightEqual-Weightmain
  • 2026-05-18TD CowenBuyBuymain
  • 2026-04-27Piper SandlerNeutralNeutralmain

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