BASF SE (BFFAF)
NEUTRAL基本面
53
价格
$51.68
市值
$45.09B
第一部分 · 这家公司值多少
概览
BASF is a German chemicals group that turns crude oil, natural gas and other raw materials into the intermediate products other industries build on: plastics, coatings, catalysts, crop protection chemicals and ingredients for food, pharmaceuticals and personal care. Its plants are organized in integrated complexes ("Verbund" sites) where one factory's waste heat or by-product becomes another's raw material, and it sells worldwide across chemicals, automotive, construction, agriculture and consumer goods customers.
盈利方式
Revenue comes from selling chemical products by volume and price, so results swing with the price of oil and gas feedstocks, plant utilization and global industrial demand rather than following a subscription-like pattern. Margins are thinnest in basic Chemicals, where products are largely interchangeable with competitors', and richer in specialty areas like Agricultural Solutions and Surface Technologies, where formulations and application know-how are harder to copy.
分部营收
Engineering plastics and polyurethane systems sold to the automotive, construction and furniture industries.
Basic petrochemicals and intermediates, largely feeding BASF's own downstream segments as well as outside customers.
Crop protection chemicals and seed treatments sold to farmers worldwide, BASF's highest-margin large segment.
Catalysts for vehicle emission control and battery materials, plus coatings for cars and industrial surfaces.
Performance chemicals for industrial customers, including, since 2025, the chemical and refining catalysts business.
Ingredients for food, pharmaceuticals, home care and personal care products, such as vitamins and surfactants.
Non-allocated corporate businesses, including commodity trading activities, not attributed to the six operating segments.
需求驱动因素
周期性Chemical volumes track global industrial production, construction and automotive output closely, so demand rises and falls with the manufacturing cycle rather than staying steady. BASF's own outlook ties its results to assumptions about global GDP growth, oil prices and the health of the automotive and construction sectors, and it has flagged persistent margin pressure across several product lines.
主要风险
- Margin pressure across product lines — The company states that continuing pressure on margins for a number of products and value chains may lead to further declining margins, driven by price competition and raw material cost swings.
- Energy and raw material cost exposure — As an energy-intensive producer, BASF's margins move with oil and gas prices, and higher CO2 costs under emissions trading schemes and energy legislation add a further regulatory cost layer.
- Production disruption — Unplanned plant shutdowns from accidents, equipment failure or extreme weather can interrupt supply from BASF's integrated Verbund sites, even with redundant facilities and crisis management in place.
- Macroeconomic and geopolitical risk — An unexpected slowdown in global growth, rising protectionism, or escalation of geopolitical conflicts could disrupt supply chains and constrain the energy and raw materials BASF depends on.
Written by the editors, published on 2026年8月18日
Direct competitors
Who this company fights with for the same customers
No editorial profile for this company yet
No competitor list for this company yet.
资产负债表与流动性
营收
$61.14B
截至最近已公布季度的最近12个月 — 根据每股指标估算
净利润
$5.73B
截至最近已公布季度的最近12个月 — 根据每股指标估算
自由现金流
$1.05B
股东权益合计
$36.06B
负债合计
$26.68B
流动比率
1.85
利息覆盖率
-
债务/EBITDA
4.06
每股收益
营收与净利润
自由现金流
收入构成
历史财务表
利润率变化
债务变化
债务负担有多重
增长一览表
增长 — 营业收入
公允价值估算
公允价值
$39.34
当前价格
$51.68
安全边际
-31.4%
公允价值区间
$30.21 - $48.48
估算方法
估值指标
市盈率(P/E)
7.88
ROE
6.1%
市净率(P/B)
1.28
P/FCF
42.74
毛利率
24.0%
ROIC
4.0%
盈利能力雷达图
Value Creation (Economic Moat)
ROIC
4.0%
WACC
5.1%
ROIC − WACC
-1.0 pp
ROIC is below the cost of capital — the company is destroying value for every dollar invested.
基本面分析标准
通过(10)
- P/B Ratio 1.28
- Debt/Equity ratio
- Positive Free Cash Flow
- Current Ratio
- Debt/EBITDA
- Price below Graham Number
- ROE 17.0%
- Analyst Consensus 53% Buy
- Earnings Quality (OCF/NI) 2.92
- Net Margin Trend 2.7% vs 2.0%
未通过(10)
- Price CAGR -5.31%
- ROIC 4.0%
- Gross Margin 24.0%
- P/FCF 42.74
- Operating Margin 3.7%
- CapEx intensity
- DCF valuation (Overvalued)
- Revenue Growth 5Y 0.2%
- Earnings Surprise avg -25.8%
- Piotroski F-Score 2/9
不可用(7)
- EPS data insufficient
- Dividend Payout NaN%
- Interest Coverage
- Return on Tangible Assets
- Low reliance on intangibles
- PEG Ratio (need PE > 0 and growth > 0)
- Share Dilution (missing shares data)
Piotroski F-评分
存在严重财务隐患
盈利质量
高质量:盈利有现金流支撑
股权稀释
正在回购股份,对股东友好
公司治理
管理团队
| 姓名 | 职位 | 年龄 |
|---|---|---|
| Dr. Markus Kamieth | CEO & Chairman of the Board of Executive Directors | 55 |
| Dr. Dirk Elvermann | Member of the Board of Executive Directors, CFO & Chief Digital Officer | 54 |
| Mr. Anup Kothari | Member of the Board of Executive Director & President of the Nutrition and Health Division | 57 |
| Dr. Stephan Kothrade | CTO & Member of the Board of Executive Directors | 58 |
| Dr. Katja Scharpwinkel | Member of the Board of Executive Director | 56 |
| Dr. Mary Kurian | Member of Board of Executive Director | 48 |
| Dr. Livio Tedeschi | Members of the Board of Executive Director | 53 |
| Mr. Christian-Matthias Jutzi | Senior VP of Mobile Emissions Catalysts & President of Corporate Finance | 48 |
| Dr. Stefanie Wettberg | Senior Vice President of Investor Relations | 52 |
| Ms. Silke Wischeropp | General Counsel & Chief Compliance Officer | 46 |
审计风险
2
董事会风险
5
薪酬风险
1
股东权利风险
1
第二部分 · 价格与买入时机
这一部分不判断公司是否值得拥有:它帮助你在基本面说服你之后,选择何时买入。包含:技术分析、潜力、历史回撤、Gamma 敞口。
Latest News
Recent headlines for BFFAF, sourced from Markets Gazette.