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ECL

Ecolab·NYSE
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8.82 / 10
Outperform

Ecolab's fundamental analysis reveals an outstanding profile with a score of 8.8/10. Key strengths include a high Revenue-MV ranking (group 1, score 3) and a solid Equity multiplier (DuPont analysis %) in group 3 (score 3). However, Profit-MV is only average (group 1, score 0), and Net profit attributable to parent shareholders is slightly below ideal (group 1, score 1). These metrics indicate robust growth potential but highlight areas where earnings quality could improve. Overall, the fundamentals support an Outperform rating.

Fundamental(8.82)SentimentTechnical

Analysis Checks(4/10)

Revenue-MV
Value-0.33
Score3/3
Weight31.89%
1M Return5.60%
Net profit attributable to parent company shareholders / Net profit (%)
Value99.15
Score1/3
Weight7.79%
1M Return1.48%
Profit-MV
Value0.19
Score0/3
Weight-12.42%
1M Return-2.85%
Net income-Revenue
Value0.34
Score3/3
Weight32.18%
1M Return5.35%
Cash-UP
Value0.05
Score0/3
Weight-14.67%
1M Return-3.85%
Long-term debt to working capital ratio (%)
Value3.41
Score2/3
Weight15.99%
1M Return2.90%
Cost of sales ratio (%)
Value55.38
Score1/3
Weight8.09%
1M Return1.59%
Asset-MV
Value-0.50
Score0/3
Weight-4.21%
1M Return-0.93%
Equity multiplier (DuPont analysis %)
Value2.51
Score3/3
Weight29.11%
1M Return5.66%
Current ratio
Value1.70
Score1/3
Weight6.25%
1M Return1.16%
Is ECL undervalued or overvalued?
  • ECL scores 8.82/10 on fundamentals and holds a Discounted valuation at present. Backed by its 16.30% ROE, 12.61% net margin, 41.43 P/E ratio, 8.43 P/B ratio, and -2.64% earnings growth, these metrics solidify its Outperform investment rating.