IEP: Icahn Enterprises LP is a strong buy according to our AI strategy. In the period between 2021-02-24 to 2023-05-09, the potential return rate with this strategy was 61.91%, with an average of 20.64% and a duration of 27 days per position. There were 3 positions taken during this period. The current analyst consensus price target for IEP is 70.0, and the model used has an overall accuracy of 0.86 in predicting an upward trend in the following 2 weeks.
Icahn Enterprises LP (IEP) is a publicly traded company specializing in investments, energy, automotive, food packaging, metals, real estate, home fashion, and pharmaceuticals. The company is headquartered in Sunny Isles Beach, Florida and is currently listed on the NASDAQ exchange. As of November 6th, 2020, IEP is trading at 17.72 with a market capitalization of 18.23 billion and an EBITDA of 539 million.
IEP has a mixed performance record over the past few years. Its stock has generally trended upward since its IPO in 2004, but has experienced some declines in recent years. In 2017, IEP peaked at 54.45 before declining to 43.73 in 2019. Since then, the stock has recovered to its current price of 17.72.
It is important to note that IEP has a negative EPS of -1.635 and a dividend yield of 0.148%. This means that the company is not paying a dividend at this time. Additionally, IEP has a price to book ratio of 4.279, a price to sales ratio of 1.283, and an EV to revenue ratio of 1.243.
IEP’s quarterly earnings growth year over year is 0.631 and the quarterly revenue growth year over year is 0.276. Additionally, IEP has a trailing PE of -, a forward PE of 28.82, and an analyst target price of 70.
Overall, Icahn Enterprises LP is a company with a mixed performance record. While it has experienced some declines in recent years, its stock has generally trended upward since its IPO in 2004. It is important to note that IEP has a negative EPS, does not currently pay a dividend, and has various ratios to consider when evaluating its performance.
Symbol: IEP
AssetType: Common Stock
Name: Icahn Enterprises LP
Description: Icahn Enterprises LP, operates in investment, energy, automotive, food packaging, metals, real estate, home fashion and pharmaceutical businesses in the United States and internationally. The company is headquartered in Sunny Isles Beach, Florida.
CIK: 813762
Exchange: NASDAQ
Currency: USD
Country: USA
Sector: ENERGY & TRANSPORTATION
Industry: PETROLEUM REFINING
Address: 767 FIFTH AVENUE, SUITE 4600, NEW YORK, NY, US
FiscalYearEnd: December
LatestQuarter: 2022-12-31
MarketCapitalization: 18230346000
EBITDA: 539000000
PERatio: None
PEGRatio: 0
BookValue: 14.07
DividendPerShare: 8
DividendYield: 0.148
EPS: -1.635
RevenuePerShareTTM: 43.96
ProfitMargin: -0.0312
OperatingMarginTTM: 0.0023
ReturnOnAssetsTTM: 0.0007
ReturnOnEquityTTM: -0.0446
RevenueTTM: 13242000000
GrossProfitTTM: 1212000000
DilutedEPSTTM: -1.635
QuarterlyEarningsGrowthYOY: 0.631
QuarterlyRevenueGrowthYOY: 0.276
AnalystTargetPrice: 70
TrailingPE: –
ForwardPE: 28.82
PriceToSalesRatioTTM: 1.283
PriceToBookRatio: 4.279
EVToRevenue: 1.243
EVToEBITDA: 27.96
Beta: 0.725
52WeekHigh: 54.45
52WeekLow: 43.73
50DayMovingAverage: 52.15
200DayMovingAverage: 51.99
SharesOutstanding: 337474000
DividendDate: 2022-12-21
ExDividendDate: 2022-11-17
Date | Symbol | Prediction | Model Accuracy | Price Target | Analyst Target |
---|---|---|---|---|---|
2023-11-06 | IEP | STRONGBUY | 0.86 | 17.72 | 70.0 |
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