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BK trades against a final fair-value range of $69.61-$123.17, with the midpoint set by the accepted valuation synthesis rather than earlier draft model outputs. Fair value range: low $69.6, high $123, with mid-point at $98.4.
Stock analysis

BK fair value $70–$123

By StockMarketAgent.AI team· supervised by
Проанализировано: 2026-05-08Следующее обновление: 2026-08-08Methodology v2.5Review: automatedArchetype: Financial
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Цена
$130.85
▼ -32.46 (-24.81%)
Справедливая стоимость
$98
$70–$123
Рекомендация
Сокращать
confidence 88/100
Потенциал роста
-24.8%
upside to fair value
Запас прочности
$83.63
MoS level · 15%
Капитализация
$89.8B
P/E fwd 13.6
Английский по умолчаниюRU
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§1 Краткое резюме

  • Composite fair value $98 with high case $123.
  • Implied downside of 24.8% to fair value.
  • Moat 9/10 · confidence 88/100 · Financial.
  • Currently screens above fair value, so patience matters more than entry speed.
Fair value
$98
Margin of safety
-33.0%
Confidence
88/100
Moat
9/10

Educational research only - not investment advice, an offer, or a trade instruction. Confirm current data and do your own due diligence before acting.

$130.85Price
Low $69.61
Mid $98.39
High $123.17

BK trades against a final fair-value range of $69.61-$123.17, with the midpoint set by the accepted valuation synthesis rather than earlier draft model outputs.

  • High switching costs for institutional
    High switching costs for institutional clients
  • Massive scale in custody and
    Massive scale in custody and administration
  • Bull thesis
    internal valuation cross-checks relies on inappropriate industrial-style DCF models.

§2 Медвежий сценарий

A stress environment combining a 20% equity market drawdown and 200 bps of rate cuts would simultaneously hit fee revenues and net interest incomeNet Interest IncomeNet Interest Income is an income-statement line item used to reconcile revenue to operating profit, pre-tax income, net income, or per-share earnings. It should be compared across periods and against peer disclosure conventions., severely testing fixed-cost leverageLeverageThe proportion of debt in the company's capital structure. Commonly measured as Debt/EBITDA, Debt/Equity, or Net Debt/EBITDA..

Как может разрушиться эта теза

Severe Market Correction

· Medium

A prolonged global market downturn drastically reduces Assets Under Custody/Administration (AUC/A), directly compressing fee-based revenue streams below fixed operating costs.

FV impact
-15% to -20%
Trigger
12-24 months

Accelerated Rate Cuts

· High

Central banks aggressively cut interest rates faster than expected, severely compressing net interest margins on uninvested cash balances.

FV impact
-10% to -15%
Trigger
6-12 months

Regulatory Capital Hike

· Medium

G-SIB regulatory framework adjustments force significant increases in required equity capital, depressing ROE and residual income valuations.

FV impact
-20% to -25%
Trigger
18-36 months
Сигналы раннего предупреждения для мониторинга
МетрикаТекущееТриггерный порог
Consecutive quarters of declining AUC/A balancesMonitorDeterioration versus the report thesis
Compression of net interest margin below historical averagesMonitorDeterioration versus the report thesis
Elevated technology and compliance spend exceeding revenue growthMonitorDeterioration versus the report thesis
Loss of major institutional custody mandates to competitorsMonitorDeterioration versus the report thesis
Regulatory actions indicating impending capital surcharge increasesMonitorDeterioration versus the report thesis

§3 Финансовая история

Отчёт о прибылях — последние шесть периодов

Статья2021-12-312022-12-312023-12-312024-12-312025-12-31Trend
Выручка$15.63B$16.19B+3.6%$17.34B+7.1%$18.26B+5.3%$19.76B+8.2%+6.0%
Валовая прибыль
Операционная прибыль
Чистая прибыль$3.76B$2.56B-31.9%$3.30B+28.9%$4.53B+37.3%$5.55B+22.5%+10.2%
EPS (разводнённая)$2.90$4.00$5.80$7.40+26.4%
EBITDA
R&D
SG&A$6.34B$6.80B$7.10B$6.89B$6.95B+2.3%

Баллы качества

OCF / Чистая прибыль
1.21×
>1 указывает на высокое качество прибыли
Фильтр качества учёта
Pass
Фильтр с учётом сектора
ROIC
Доходность инвестированного капитала
Индивидуальные подписчики — с §4ещё 11 разделов

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BALANCE SHEET FAQ

BK balance sheet questions

  1. BK (BK)'s balance sheet section reports total assets, total liabilities, shareholders' equity, and the structure of debt versus cash so leverage and liquidity can be read directly.
FAQ

BK — frequently asked questions

  1. Based on our latest analysis, BK looks meaningfully overvalued. The current price is $131 versus a composite fair-value midpoint of $98.4 (range $69.6–$123), which implies roughly 24.8% downside to the midpoint.
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