Bull
$3.73
情境價格
$4.510
+0.010 (+0.22%)收盤時
TOYO Co Ltd is mainly engaged in the solar solution. The Company is mainly engaged in designing, manufacturing and selling of solar cells and solar modules and related businesses. The Company is a solar solution service provider that integrates the upstream production of wafer and silicon, midstream production of solar cell, downstream production of photovoltaic modules, and potentially other stages of the solar power supply chain.
TOYO Co., Ltd. appears to be a good buy right now due to its current price of $4.51, which is significantly below the analyst target of $15, indicating a potential upside of over 200%. Additionally, the forward P/E ratio is very low at 2.36, suggesting that the stock is undervalued relative to its earnings potential. However, the main risk is the recent decline in share price, with a 5-day change of -6.43%, indicating short-term volatility.
Scenario prices are the last monthly forecast band of the current year. Probabilities are fixed model weights (25 / 50 / 25), not guarantees.

TOYO Co., Ltd. Reports Significant Growth in H1 2026 Earnings

TOYO Reports Strong Q2 2026 Results with 35% Revenue Growth

TOYO Reports Strong Q2 2026 Results with Significant Revenue Growth

TOYO Supports U.S. Solar Manufacturing Policy Under Section 232

TOYO to Present at Webull Corporate Connect Webinar
TOYO Co Ltd is mainly engaged in the solar solution. The Company is mainly engaged in designing, manufacturing and selling of solar cells and solar modules and related businesses. The Company is a solar solution service provider that integrates the upstream production of wafer and silicon, midstream production of solar cell, downstream production of photovoltaic modules, and potentially other stages of the solar power supply chain. It operates in the Energy sector.
TOYO Co., Ltd. appears to be a good buy right now due to its current price of $4.51, which is significantly below the analyst target of $15, indicating a potential upside of over 200%. Additionally, the forward P/E ratio is very low at 2.36, suggesting that the stock is undervalued relative to its earnings potential. However, the main risk is the recent decline in share price, with a 5-day change of -6.43%, indicating short-term volatility.
本頁僅供研究參考,不構成投資建議。模型可能出錯。過往表現不代表未來結果。