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We've identified the following companies as similar to Unggul Indah Cahaya Tbk because they operate in a related industry or sector. We also considered size, growth, and various financial metrics to narrow down the list to the ones listed below.
Name | Ticker | Fair Value Upside (InvestingPro) |
---|---|---|
Sherwin-Williams Co | NYSE:SHW | -16.4% |
Balchem Corporation | NASDAQGS:BCPC | -13.8% |
Sensient Technologies Corporation | NYSE:SXT | -3.0% |
NewMarket Corporation | NYSE:NEU | 1.6% |
Polychem Indonesia Tbk | IDX:ADMG | 7.4% |
Scotts Miracle-Gro Company | NYSE:SMG | 13.4% |
Eastman Chemical Company | NYSE:EMN | 13.9% |
Cabot Corporation | NYSE:CBT | 14.2% |
Northern Technologies | NASDAQGM:NTIC | 15.2% |
Materials | SECTOR:MTRL.ID | 18.6% |
Huntsman Corporation | DB:HTR | 21.2% |
Unggul Indah Cahaya Tbk | IDX:UNIC | 40.8% |
Data is returned as a standard number. Suggested format is percent (e.g 0.171 => 17.1%). You need an InvestingPro+ membership to view this data
To view the full list of supported financial metrics please see Complete Metrics Listing.
Metrics similar to Fair Value Upside (InvestingPro) in the popular category include:
The percentage increase (if positive) or decrease (if negative) that our models estimate over the current stock price.
Fair Value Upside represents the discount (if positive) or premium (if negative) implied by a company’s current stock price when compared to our estimate of intrinsic value. It is the inverse of Fair Value Downside
Upside = (Fair Value Estimate / Stock Price - 1)
The chart above depicts the distribution of Fair Value Upside (InvestingPro) for companies operating in the Materials Sector in the Developing economic region. Over 2,500 companies were considered in this analysis, and 2,407 had meaningful values. The average Fair Value Upside (InvestingPro) of companies in the Sector is 5.7% with a standard deviation of 22.3%. Please note that Sector and Industry values may differ from other sources, as no adjustments have been made.
Unggul Indah Cahaya Tbk's Fair Value Upside (InvestingPro) of 40.8% ranks in the 94.0% percentile for the Sector. The following table provides additional summary stats:
Economic Risk Region | Developing |
Total Constituents | 2,507 |
Included Constituents | 2,407 |
Min | -41.6% |
Max | 56.1% |
Median | 5.1% |
Mean | 5.7% |
Standard Deviation | 22.3% |
You can find companies with similar Fair Value Upside (InvestingPro) using this stock screener.