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ECL

Ecolab·NYSE
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4.35 / 10
Netural

Fundamentally, ECL scores 4.3/10, reflecting a defensive profile. Equity multiplier (2.54) and cash‑up (+0.30) are the few bullish signals, while Asset‑MV and Profit‑MV show weakness. Overall metrics suggest modest strength but warrant caution.

Fundamental(4.35)SentimentTechnical

Analysis Checks(4/10)

Net cash flow from operating activities per share (YoY growth rate %)
Value5.44
Score1/3
Weight6.37%
1M Return2.30%
Shareholders’ equity attributable to parent company / Total liabilities (%)
Value0.66
Score1/3
Weight6.02%
1M Return2.16%
Equity multiplier
Value2.53
Score3/3
Weight14.69%
1M Return5.12%
Profit-MV
Value0.48
Score1/3
Weight0.68%
1M Return0.29%
Net income-Revenue
Value0.33
Score3/3
Weight29.61%
1M Return7.65%
Cash-UP
Value0.30
Score2/3
Weight11.35%
1M Return3.73%
Asset-MV
Value-0.55
Score1/3
Weight7.13%
1M Return2.47%
Equity multiplier (DuPont analysis %)
Value2.54
Score3/3
Weight16.51%
1M Return5.63%
Current ratio
Value1.08
Score1/3
Weight4.08%
1M Return1.45%
Cash-MV
Value-0.15
Score1/3
Weight3.57%
1M Return1.33%
Is ECL fundamentally strong?
  • ECL scores 4.35/10 on fundamentals and holds a Fair valuation at present. Backed by its 22.33% ROE, 13.02% net margin, 36.54 P/E ratio, 7.74 P/B ratio, and -1.35% earnings growth, these metrics solidify its Netural investment rating.