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BCS | Barclays PLC Stock Overview

(Stock Exchange: NYSE)
Day's Range 12.81 - 13.20
52 Week Range 7.07 - 13.83
Beta 1.50
Implied Volatility 31.01%
IV Rank 28.57%
Day's Volume 19,233,101
Average Volume 10,552,590
Shares Outstanding 3,599,725,000
Market Cap 47,084,403,000
Sector Financial Services
Industry Banks - Diversified
IPO Date 1986-09-09
Valuation
Profitability
Growth
Health
P/E Ratio 9.21
Forward P/E Ratio 3.86
EPS 1.42
1YR Price Target 9.40
Dividend Yield 2.20%
Dividend Per Share 0.29
Dividend ExDate 2023-02-23
Dividend PayDate 2023-03-31
Employees 92,400
Country UK
Website BCS
Barclays is a universal bank headquartered in the United Kingdom. It operates via two principal segments; U.K. (38% of profit before tax) and International (62% of PBT). In its U.K. segment, the bank provides current accounts, mortgages, savings and investment management services, credit cards, and business banking services to retail clients and small and medium-size enterprises. The international segment includes a corporate bank offering banking solutions to large corporates, a bulge-bracket global investment bank, and a credit card and payments business. In 2018, Barclays generated roughly 52% of its income from the U.K. and 34% from the United States.
BCS's peers: BBVA, SAN, UBS, HSBC, MUFG, SMFG, ING, C, RY, BCDRF, CS, EWBC, NU, NWG, WFC
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Analyzing fundamentals for BCS we got that it has weak fundamentals where Valuation is considered to be undervalued, Profitability is unacceptably poor, Growth is very good and Health is frighteningly weak. For more detailed analysis please see BCS Fundamentals page.

Watching at BCS technicals we can see that long-term trend is bullish, the same as bullish middle-term trend, but short-term trend is bearish. More technicals details can be found on BCS Technicals page.
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