Bank of New York Mellon Corp

Bank of New York Mellon Corp(BNY)の株式分析

$162.500

+0.260 (+0.16%)終値時点

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High
163.460
Open
162.670
VWAP
162.55
Vol
2.35M
Mkt Cap
Low
161.690
Amount
382.59M
EV/EBITDA, TTM
1.13

The Bank of New York Mellon Corporation is a global financial services company. The Company’s business segment includes Securities Services, Market and Wealth Services and Investment and Wealth Management. The Securities Services business segment consists of Asset Servicing and Issuer Services, which provide business solutions across the transaction life cycle to its global asset owner and asset manager clients. The Market and Wealth Services business segment consists of three lines of business, Pershing, Treasury Services and Clearance and Collateral Management, which provide business services and technology solutions. Its Investment and Wealth Management business segment delivers a diversified portfolio of investment strategies independently, and through its global distribution network, to institutional and retail clients globally. It provides investment management, custody, wealth and estate planning, private banking services, investment servicing and information management.

AI analysis of Bank of New York Mellon Corp (BNY)

buy

Given the current price of $162.50, the strong upward momentum with a 5-day change of +2.53%, and a solid RSI of 56.41 indicating bullish momentum, BNY appears to be a good buy right now. The company also reported a net income of $1.696 billion in Q2 2026, reflecting a healthy growth trend. However, the debt to equity ratio has risen to 136.31%, which is a risk to consider.

バリュエーション指標

The current forward P/E ratio for Bank of New York Mellon Corp (BNY) is 17.83, compared to its 5-year average forward P/E of 8.36.

Forward P/E

Overvalued
5Y Average P/E
8.36
Current P/E
17.83
割高
16.98
割安
-0.26

Forward EV/EBITDA

Fair
5Y Average EV/EBITDA
0.59
Current EV/EBITDA
1.13
割高
4.60
割安
-3.42

Forward P/S

Overvalued
5Y Average P/S
2.21
Current P/S
4.73
割高
4.49
割安
-0.07

Whales holding BNY

P

Pzena Investment Management, Inc.

+ HoldingBNY

+9.97%

3M Return

C

Chilton Investment Company, Inc.

+ HoldingBNY

+8.90%

3M Return

A

Artisan Partners Limited Partnership

+ HoldingBNY

+8.81%

3M Return

A

Artemis Investment Management LLP

+ HoldingBNY

+4.84%

3M Return

T

The Burney Company

+ HoldingBNY

+4.15%

3M Return

H

Hikari Power Ltd.

+ HoldingBNY

+3.84%

3M Return

イベントタイムライン

2026-08-13 (ET)

10:30:00

Bank of New York Mellon Appoints Independent Director Vikram Malhotra

2026-08-04 (ET)

09:00:00

Galaxy Digital Partners with BNY for Digital Asset Infrastructure

2026-07-15 (ET)

12:00:00

BNY Mellon Q2 Earnings Call Outlook Cautious

07:01:00

BNY Reports Q2 Revenue of $5.7B, Beating Expectations

ニュース

BNY FAQ — answered by Alphio AI

The Bank of New York Mellon Corporation is a global financial services company. The Company’s business segment includes Securities Services, Market and Wealth Services and Investment and Wealth Management. The Securities Services business segment consists of Asset Servicing and Issuer Services, which provide business solutions across the transaction life cycle to its global asset owner and asset manager clients. The Market and Wealth Services business segment consists of three lines of business, Pershing, Treasury Services and Clearance and Collateral Management, which provide business services and technology solutions. Its Investment and Wealth Management business segment delivers a diversified portfolio of investment strategies independently, and through its global distribution network, to institutional and retail clients globally. It provides investment management, custody, wealth and estate planning, private banking services, investment servicing and information management. It operates in the Financials sector.

Given the current price of $162.50, the strong upward momentum with a 5-day change of +2.53%, and a solid RSI of 56.41 indicating bullish momentum, BNY appears to be a good buy right now. The company also reported a net income of $1.696 billion in Q2 2026, reflecting a healthy growth trend. However, the debt to equity ratio has risen to 136.31%, which is a risk to consider.

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