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ALV

Autoliv·NYSE
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5.22 / 10
Netural

Fundamental analysis rates Autoliv as neutral with a 5.2/10 score. Positive drivers include operating cycle and cash‑to‑market value, while PB‑ROE and asset‑to‑market value lag. Overall financial health is modest, indicating selective investment.

Fundamental(5.22)SentimentTechnical

Analysis Checks(9/10)

Revenue-MV
Value1.10
Score3/3
Weight14.22%
1M Return11.72%
Operating cycle
Value109.78
Score2/3
Weight3.48%
1M Return3.51%
Net income-Revenue
Value-0.25
Score3/3
Weight16.89%
1M Return13.39%
PB-ROE
Value-0.00
Score1/3
Weight7.74%
1M Return6.65%
Rate of return on total assets (%)
Value13.12
Score2/3
Weight2.91%
1M Return2.97%
Income tax / Total profit (%)
Value25.36
Score3/3
Weight5.84%
1M Return5.49%
Cash-UP
Value0.63
Score3/3
Weight12.27%
1M Return8.78%
Annualized return on total assets (%)
Value13.12
Score2/3
Weight2.91%
1M Return2.97%
Asset-MV
Value-0.55
Score2/3
Weight21.35%
1M Return15.09%
Cash-MV
Value0.92
Score2/3
Weight12.39%
1M Return11.15%
Is ALV undervalued or overvalued?
  • ALV scores 5.22/10 on fundamentals and holds a Fair valuation at present. Backed by its 30.20% ROE, 6.81% net margin, 10.91 P/E ratio, 3.11 P/B ratio, and 18.98% earnings growth, these metrics solidify its Netural investment rating.