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CUSHMAN & WAKEFIELD PLC

CWK | US

13.27

USD

0.61

4.82%

CWK | US
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About CUSHMAN & WAKEFIELD PLC

Sector

Real Estate

Industry

Real Estate Services

Earnings date

30/06/2024

As of date

04/06/2026

Close

13.27

Open

12.90

High

13.33

Low

12.79

Cushman & Wakefield plc together with its subsidiaries provides commercial real estate services under the Cushman & Wakefield brand in the United States Australia the United Kingdom and internationally. The company operates through Americas; Europe Middle East and Africa; and Asia Pacific segments. It offers integrated facilities management project and development portfolio administration transaction management and strategic consulting services; property management services including client accounting engineering and operations lease compliance administration project and development and sustainability services; and self-performed facilities services which include janitorial maintenance critical environment management landscaping and office services. The company also provides owner representation and tenant representation leasing services; capital market services including investment sales and equity and debt and structured financing for real estate purchase and sales transactions; and appraisal management investment management valuation advisory portfolio advisory diligence advisory dispute analysis and litigation support financial reporting and property and/or portfolio valuation services on real estate debt and equity decisions. Cushman & Wakefield has strategic partnerships with Vanke Service (Hong Kong) Co. Limited. It serves real estate owners and occupiers such as tenants investors and multi-national corporations. The company was founded in 1784 and is based in London the United Kingdom.

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CWK | US

Risk
43.2
Sharpe
0.63
Luna's Score
37/100
Recommendation
Sell

Luna says (CWK | US)

What's Working

Value Stock (Price to Book < 3)

What's not Working

High Short-term Volatility

Midcap (2B - 10B USD)

Weak P/E, and PEG ratio indicator

High Market Beta (> 0.8)

High Debt to Equity (> 0.75)

High Debt to Asset (> 0.45)

Weak Operating Margin (< 10%)

Declining Revenue (< 0%)

Volatility Signals

Bearish: Increased Volatility (6-month > 1-month volatility)

Risk Meter

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10 days

42.7%

1 month

43.2%

3 months

39.1%

6 months

48.4%

Returns

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Fundamental Ratios

PE

167.63

Fwd. PE

15.15

Price to book

1.88

Debt to equity

2.09

Debt to assets

0.47

Ent. to EBITDA

10.95

Ent. to rev.

0.64

PEG

0.22

Other Fundamentals

EBITDA

449.20M

MarketCap

3.04B

MarketCap(USD)

3.04B

Div. yield

-

Op. margin

3.84

Erngs. growth

194.80

Rev. growth

-4.90

Ret. on equity

1.26

Short ratio

6.48

Short perc.

6.98

Market Sentiment (SMA and Price signals)

Short-term: Bearish (SMA10D < SMA1M)

Intermediate-term: Bullish (SMA1M > SMA3M)

Long-term: Bullish (SMA6M > SMA12M)

SMAs: Stock Price Trends

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Range10D

1.35

Range1M

2.88

Range3M

3.54

Volumes: Market Activity

Volume Averages

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Rel. volume

0.70

Price X volume

17.47M

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  • 1

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA10.9515.82Cheaper
Ent. to Revenue0.644.76Cheaper
PE Ratio167.6355.60Expensive
Price to Book1.8814.74Cheaper
Dividend Yield-2.85-
Std. Deviation (3M)39.1454.65Lower Risk
Debt to Equity2.09-2.06Expensive
Debt to Assets0.470.38Expensive
Market Cap3.04B5.97BEmerging
  • 1

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