Spire Inc

Spire Inc(SR)の株式分析

$82.560

+0.017 (+0.02%)終値時点

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High
83.910
Open
83.050
VWAP
82.93
Vol
692.14K
Mkt Cap
3.47B
Low
82.330
Amount
57.40M
EV/EBITDA, TTM
8.82

Spire Inc. is a holding company for Spire Missouri Inc. (Spire Missouri), Spire Alabama Inc. (Spire Alabama), other gas utilities, and gas-related businesses. Spire Missouri is a public utility engaged in the purchase, retail distribution and sale of natural gas. Spire Alabama is a public utility engaged in the purchase, retail distribution and sale of natural gas principally in central and northern Alabama, serving residential and commercial customers. Its segments include Gas Utility, and Midstream. The Gas Utility segment includes the regulated operations of Spire Missouri, Spire Alabama, Spire Gulf Inc. and Spire Mississippi Inc. The Midstream segment includes Spire STL Pipeline LLC, Spire MoGas Pipeline LLC, and Spire Storage, which are subsidiaries engaged in the transportation and storage of natural gas. Spire Gulf and Spire Mississippi are utilities engaged in the purchase, retail distribution and sale of natural gas to the Alabama area and south-central Mississippi.

AI analysis of Spire Inc (SR)

buy

Spire Inc is a good buy right now due to its recent strong earnings report showing a net income of $211.2 million for Q3, a significant increase from $20.9 million last year, and a reaffirmed fiscal 2026 adjusted EPS guidance of $3.90 to $4.10. Additionally, the stock's current price of $82.56 is below the average analyst price target of $91, indicating potential upside. However, the main risk is the continuing operations loss of $42.6 million reported in Q3, which needs to be monitored closely.

Analyst Ratings (10)

+17.09% upside
Hold
3 Buy
5 Hold
2 Sell
Current: 82.56
安値
89.00
平均
96.67
高値
104.00

Morgan Stanley

2026-08-21

目標株価

$91

Overweight

TD Cowen

2026-08-12

目標株価

$93

Hold

BTIG

2026-07-23

目標株価

$101

Buy

Morgan Stanley

2026-07-22

目標株価

$96

Overweight

JPMorgan

2026-06-26

目標株価

$85

Neutral

バリュエーション指標

The current forward P/E ratio for Spire Inc (SR) is 14.90, compared to its 5-year average forward P/E of 16.13.

Forward P/E

Fair
5Y Average P/E
16.13
Current P/E
14.90
割高
17.94
割安
14.32

Forward EV/EBITDA

Undervalued
5Y Average EV/EBITDA
11.15
Current EV/EBITDA
8.82
割高
12.36
割安
9.94

Forward P/S

Fair
5Y Average P/S
1.50
Current P/S
1.63
割高
1.73
割安
1.26

Alphio AI Price Scenarios for SR

Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

B

Bull

Bull · 25%SR

$72.23

シナリオ価格

B

Base

Base · 50%SR

$58.77

シナリオ価格

B

Bear

Bear · 25%SR

$55.51

シナリオ価格

Whales holding SR

V

Vaughan Nelson Investment Management, L.P.

+ HoldingSR

-0.30%

3M Return

E

ExodusPoint Capital Management, LP

+ HoldingSR

-0.60%

3M Return

SR FAQ — answered by Alphio AI

Spire Inc. is a holding company for Spire Missouri Inc. (Spire Missouri), Spire Alabama Inc. (Spire Alabama), other gas utilities, and gas-related businesses. Spire Missouri is a public utility engaged in the purchase, retail distribution and sale of natural gas. Spire Alabama is a public utility engaged in the purchase, retail distribution and sale of natural gas principally in central and northern Alabama, serving residential and commercial customers. Its segments include Gas Utility, and Midstream. The Gas Utility segment includes the regulated operations of Spire Missouri, Spire Alabama, Spire Gulf Inc. and Spire Mississippi Inc. The Midstream segment includes Spire STL Pipeline LLC, Spire MoGas Pipeline LLC, and Spire Storage, which are subsidiaries engaged in the transportation and storage of natural gas. Spire Gulf and Spire Mississippi are utilities engaged in the purchase, retail distribution and sale of natural gas to the Alabama area and south-central Mississippi. It operates in the Utilities sector (NATURAL GAS DISTRIBUTION industry).

Spire Inc is a good buy right now due to its recent strong earnings report showing a net income of $211.2 million for Q3, a significant increase from $20.9 million last year, and a reaffirmed fiscal 2026 adjusted EPS guidance of $3.90 to $4.10. Additionally, the stock's current price of $82.56 is below the average analyst price target of $91, indicating potential upside. However, the main risk is the continuing operations loss of $42.6 million reported in Q3, which needs to be monitored closely.

10 analysts cover SR: 3 rate it Buy, 5 Hold and 2 Sell. The average price target is 96.67.

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