Buzzi S.p.A. is a prominent international company operating in the Basic Materials sector, with a specific focus on cement, ready-mix concrete, and aggregates. As a key player in the global building materials industry, the company currently holds a market capitalization of approximately 8.67 Billion EUR.
From a technical standpoint, Buzzi S.p.A. currently scores a -2, leading to a "Sell" rating. This assessment is primarily driven by a significant long-term trend indicator. The current price is trading slightly below its 200-day simple moving average, which is a key bearish signal contributing a score of -2. Furthermore, the MACD histogram is negative, indicating bearish momentum and adding another -1 to the total. On the other hand, the trend strength is weak, with an ADX below 25, resulting in a neutral score (0). Similarly, the RSI at 40.73 is in neutral territory. A small positive signal comes from the On-Balance Volume (OBV), which is above its moving average, suggesting some recent buying pressure (+1). However, the negative trend and momentum signals currently outweigh this.
In conclusion, the technical "Sell" rating reflects short-term weakness and a potential bearish trend. This technical outlook appears to contrast with the company's fundamental context. Buzzi's P/E ratio of 9.58 suggests a potentially reasonable valuation. The company's last reported EPS was 0.18, which represented an extraordinary positive surprise of 7700.0%, indicating a massive outperformance of expectations. Investors should also note the reported dividend yield is exceptionally high. While the technicals point towards caution, the strong earnings history suggests underlying fundamental health. The next earnings report is scheduled for 26/03/2026, which will be a key event for validating this performance.