रैंकिंग पर वापस जाएं

Wendel (WNDLF)

NEUTRAL
Financial ServicesAsset ManagementFrance

Fundamental

43

मूल्य

$86.60

मार्केट कैप

$3.33B

भाग 1 · कंपनी का मूल्य कितना है

अवलोकन

Wendel is a French investment holding company: it does not sell a product of its own, it buys controlling or influential stakes in other companies and manages them over long horizons, then eventually sells. It also runs a separate business managing private-market funds for outside investors — the IK Partners and Monroe Capital platforms, together overseeing about €47 billion of third-party money. Its own capital, valued at €164.2 net asset value per share at the end of 2025, is invested across roughly a dozen companies spanning testing and certification, education, professional training, engineering consulting and specialty chemicals.

यह पैसा कैसे कमाती है

Wendel's consolidated financial statements report the full sales of the portfolio companies it controls, not just its share of their profits, which is why its reported 2025 net sales of about €7.6 billion are dominated by Bureau Veritas, a testing and certification company Wendel controls through governance rights despite owning only about a quarter of its shares. Companies where Wendel holds influence but not control, such as Tarkett and Globeducate, are booked only as a share of profit rather than added to consolidated sales. On top of this, Wendel earns management fees from the private-fund platforms it operates for outside investors.

खरीदने के पक्ष में तर्क

Buyers argue that Wendel's stock has historically traded at a discount to the sum of its stakes' market and private valuations, that a shift toward managing third-party private-fund capital diversifies income away from any single portfolio company, and that experienced, long-horizon ownership lets the underlying businesses invest without quarterly pressure.

बेचने के पक्ष में तर्क

Sellers fear that a holding company's value depends on decisions made inside businesses it does not fully own, that concentration in a handful of large stakes such as Bureau Veritas leaves little room for error in any one of them, and that the conglomerate discount can persist indefinitely rather than close.

Written by the editors, published on 18 अगस्त 2026

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बैलेंस शीट और तरलता

राजस्व

$6.70B

अंतिम प्रकाशित तिमाही तक के पिछले 12 महीने — प्रति शेयर मेट्रिक्स से अनुमानित

शुद्ध आय

$-77M

अंतिम प्रकाशित तिमाही तक के पिछले 12 महीने — प्रति शेयर मेट्रिक्स से अनुमानित

Free Cash Flow

$-353M

कुल इक्विटी

$3.06B

कुल देनदारियाँ

$5.65B

Current Ratio

1.38

Interest Coverage

-

Debt/EBITDA

5.34

Earnings Per Share

राजस्व और शुद्ध आय

Free Cash Flow

आय विवरण

ऐतिहासिक विवरण

समय के साथ मार्जिन

समय के साथ ऋण

ऋण कितना भारी है

वृद्धि तालिका

वृद्धि — राजस्व

Fair Value अनुमान

General caseकम मूल्यांकित

Fair Value

$130.23

वर्तमान मूल्य

$86.60

Margin of Safety

+33.5%

Fair Value सीमा

$100.76 - $159.70

अनुमान विधियाँ

Analyst price target:$106.17
Discounted cash flow (DCF):Not enough data to compute it
Earnings multiple (P/E):Not enough data to compute it
Graham growth formula:Not enough data to compute it
Earnings power value (EPV):$166.32
Justified P/B:Not enough data to compute it
Dividend discount (Gordon):$60.13
P/FFO, funds from operations:Not enough data to compute it
Mid-cycle earnings:Not enough data to compute it
Revenue multiple:$518.86
विश्लेषक सहमति:दृढ़ खरीदें (12B / 4H / 0S)

मूल्यांकन मेट्रिक्स

P/E Ratio

-

ROE

8.0%

P/B Ratio

1.09

P/FCF

-

Gross Margin

11.6%

ROIC

9.0%

लाभप्रदता Radar

Value Creation (Economic Moat)

ROIC

9.0%

WACC

4.0%

ROIC − WACC

+5.0 pp

ROIC exceeds the cost of capital — the company is creating value for shareholders.

Fundamental विश्लेषण मानदंड

पास (7)

  • ROIC 9.0%
  • P/B Ratio 1.09
  • Debt/Equity ratio
  • Operating Margin 12.5%
  • Current Ratio
  • Debt/EBITDA
  • Analyst Consensus 75% Buy

फेल (8)

  • Price CAGR -2.36%
  • Gross Margin 11.6%
  • Positive Free Cash Flow
  • DCF valuation (Unknown)
  • ROE -2.6%
  • Revenue Growth 5Y 2.1%
  • Net Margin Trend -2.0% vs 3.6%
  • Piotroski F-Score 2/9

अनुपलब्ध (12)

  • EPS data insufficient
  • P/FCF NaN
  • Dividend Payout NaN%
  • CapEx intensity
  • Interest Coverage
  • Return on Tangible Assets
  • Low reliance on intangibles
  • Price below Graham Number
  • Earnings Surprise (Finnhub)
  • PEG Ratio (need PE > 0 and growth > 0)
  • Earnings Quality (OCF/Net Income)
  • Share Dilution (missing shares data)

Piotroski F-Score

2/9

गंभीर वित्तीय चिंताएं

score
criteria

Earnings गुणवत्ता

-

निम्न गुणवत्ता: accounting की जांच करें

शेयर Dilution

-

शेयर वापस खरीद रही है। शेयरधारक अनुकूल

प्रशासन

कार्यकारी टीम

नामपदआयु
Mr. Laurent MignonGroup CEO & Chairman of the Executive Board62
Mr. David DarmonDeputy CEO & Member of Executive Board52
Ms. Harper MatesMD, CEO of Wendel NA & Employee Representative Member of Supervisory Board43
Mr. Benoit DrillaudChief Financial Officer50
Mr. Cyril MarieExecutive VP of Asset Management & Member of Executive Board51
Mr. Sébastien MetzgerGeneral Counsel44
Ms. Christine Anglade-PirzadehDirector of Communications, ESG & Sustainable Development and Advisor to the Executive Board54
Ms. Laure DelabeyeDirector of Human Resources & Services54
Mr. Jérôme MichielsExecutive Vice President50
Mr. Nabil BennisHead of Valuation & Investment Strategy Performance Monitoring35

Audit जोखिम

5

बोर्ड जोखिम

6

मुआवजा जोखिम

2

शेयरधारक अधिकार जोखिम

7

भाग 2 · कीमत और खरीदने का समय

यह हिस्सा यह नहीं बताता कि कंपनी अच्छी है या नहीं: यह तय करने में मदद करता है कि उसे कब खरीदें, जब फंडामेंटल आपको आश्वस्त कर चुके हों। इसमें: तकनीकी विश्लेषण, संभावना, ऐतिहासिक गिरावट, गामा एक्सपोज़र।

Latest News

Recent headlines for WNDLF, sourced from Markets Gazette.

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Disclaimer

यह प्लेटफ़ॉर्म केवल शैक्षिक उद्देश्यों के लिए है। यह कोई वित्तीय, निवेश, या ट्रेडिंग सलाह नहीं देता। सभी स्कोर, मूल्यांकन, और संकेत सार्वजनिक रूप से उपलब्ध डेटा के स्वचालित विश्लेषण पर आधारित हैं जो अधूरे या गलत हो सकते हैं। निवेश निर्णय लेने से पहले हमेशा अपना शोध करें और एक योग्य वित्तीय सलाहकार से परामर्श लें।

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