CF Industries Holdings, Inc. – Consensus ‘buy’ rating and 33.5% Upside Potential

Broker Ratings
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CF Industries Holdings, Inc. with ticker code (CF) now have 19 analysts in total covering the stock. The consensus rating is pointing to ‘buy’. The range between the high target price and low target price is between 110 and 65 and has a mean target at $89.53. Now with the previous closing price of $67.04 this now indicates there is a potential upside of 33.5%. It’s also worth noting that there is a 50 day moving average of $71.50 and the 200 day MA is $90.27. The company has a market capitalization of 13.16B. The current share price for the company is: 67.49 USD

The potential market cap would be $17,575,536,779 based on the market consensus.

The company is not paying dividends at this time.

Other points of data to note are a P/E ratio of 4.49, revenue per share of 51.6 and a 21.87% return on assets.

CF Industries Holdings, Inc. is a manufacturer of hydrogen and nitrogen products for clean energy, fertilizer, emissions abatement, and other industrial applications. The Company operates nitrogen manufacturing complexes in the United States, Canada and the United Kingdom. Its segments include Ammonia, Granular Urea, UAN, AN and Other. The Ammonia segment produces anhydrous ammonia (ammonia), which contains 82% nitrogen and 18% hydrogen. The Granular Urea segment produces granular urea, which contains 46% nitrogen. The UAN segment produces urea ammonium nitrate solution (UAN). UAN is a liquid fertilizer product with a nitrogen content that typically ranges from 28% to 32%, and is produced by combining urea and ammonium nitrate. The AN segment produces ammonium nitrate (AN). AN, which has a nitrogen content between 29% and 35%, is produced by combining anhydrous ammonia and nitric acid. The Other segment includes diesel exhaust fluid (DEF), urea liquor, and nitric acid.

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