AU
Earnings in 7 days · May 8, 2026 · Before open
Signal
Mixed11
Price
1
Move+3.59%Strong session
Volume
1
Volume0.8× avgNormal activity
Technical
1
RSIRSI 39Momentum negative
PRICE
Prev Close
90.47
Open
92.68
Day Range91.82 – 94.38
91.82
94.38
52W Range38.61 – 129.14
38.61
129.14
61% of range
VOLUME & SIZE
Avg Volume
2.9M
FUNDAMENTALS
P/E Ratio
17.5x
EPS (TTM)
Div Yield
0.03%
Beta
0.47
Low vol
Performance
1D
+3.59%
5D
-4.65%
1M
+3.49%
3M
+0.92%
6M
+35.83%
YTD
+9.90%
1Y
+122.30%
Best: 1Y (+122.30%)Worst: 5D (-4.65%)
Quick Read
TrendInsufficient MA data
Momentum
BULLISH
revenue +71% YoY · 48% gross margin
Valuation
FAIR
P/E 18x vs ~20x sector
Health
STRONG
CR 2.9 · FCF $6.06/sh
Strong Buy
Key MetricsTTM
Market Cap$47.33B
Revenue TTM$9.89B
Net Income TTM$2.64B
Free Cash Flow$3.08B
Gross Margin48.3%
Net Margin26.6%
Operating Margin43.3%
Return on Equity35.2%
Return on Assets17.5%
Debt / Equity0.30
Current Ratio2.87
EPS TTM$5.18

Intelligence analysis not yet available for this stock. Full AI-powered analysis may be available on the intelligence page.

Health Radar
6 strong
88/100
Liquidity
2.87Strong
Leverage
0.30Strong
Coverage
19.5xStrong
ROE
35.2%Strong
ROIC
23.4%Strong
Cash
$2.9BStrong
ANALYST COVERAGE11 analysts
BUY
+26.4%upside to target
L $95.00
Med $118.50consensus
H $200.00
Buy
982%
Hold
19%
Sell
19%
9 Buy (82%)1 Hold (9%)1 Sell (9%)
Full report →
Stock Health
Composite Score
2 of 5 signals bullish
3/10
Technicals
RSI RangeRSI 39 — Bearish momentum
Volume
Volume FlowLean Distribution — selling pressure
Fundamentals
Last EarningsMissed estimates
Analyst ConsensusBuy
LiquidityCurrent Ratio 2.87 — healthy liquidity
Upcoming Events
EEarnings ReportMay 2, 2026
Tomorrow
DEx-Dividend DateJul 30, 2026
In 90 days
PDividend PaymentOct 29, 2026
In 181 days
Technicals
Technical SetupBEARISH
Technicals →

Trend

PullbackGolden Cross · 50D leads 200D by 35.3%

-11.8% vs SMA 50 · +19.3% vs SMA 200

Momentum

RSI39.2
Momentum fading
MACD-3.25
Below zero — bearish pulse · compressing
Market Position
Price Levels
52W High
$129.1+37.8%
EMA 50
$102.2+9.0%
Current
$93.72
EMA 200
$79.07-15.6%
52W Low
$38.61-58.8%
52-Week RangeMid-range
$38.6161th %ile$129.1
Squeeze SetupVolume-based
No Clear Setup

Volume distribution is neutral or leaning toward distribution. No compelling squeeze setup based on current money flow data.

20-Day Money Flow
Acc days:0
Dist days:1
Edge:+1 dist
Volume Context
Avg Vol (50D)3.7M
Recent Vol (5D)
2.4M-35%

Based on volume distribution analysis. Direct short interest data (short float %, days to cover) is not available in current data sources.

Earnings & Analysts

ANALYST ESTIMATES

Consensus of 5 analysts
Analyst revisions:EPS↓ Revised DownRevenue↓ Revised Down

Analyst consensus estimates · Actuals replace estimates as reported

YearRevenue Est.Rev GthEPS Est.EPS GthRangeAnalysts
FY2024
$5.7B
$5.1B$6.5B
$2.51
±6%
Moderate3
FY2025
$10.0B
$8.9B$11.3B
+73.2%$5.81+131.3%
±2%
High5
FY2026(current)
$13.9B
$12.4B$15.7B
+39.2%$10.79+85.8%
±19%
High5
Range confidence:Tight (high)ModerateWide (low)
Earnings HistoryAU
Last 8Q
-25.7%avg beat
Beat 2 of 8 quartersMissed 6 Estimates rising
-153%
Q1'24
+18%
Q3'24
-35%
Q4'24
-30%
Q1'25
+5%
Q2'25
-5%
Q3'25
-1%
Q4'25
-4%
Q1'26
Beat
Miss
Estimate
Deeper color = bigger beat/miss
* Negative EPS shown at reduced height
Analyst Activity
All ratings →
Neutral — mixed activity
90d80
UBSBuy
Mar 24
UPGRADE
JefferiesHold → Buy
Mar 12
UPGRADE
RBC CapitalOutperform → Sector Perform
Mar 12
UPGRADE
Bank of America Sec…Buy
Mar 9
UPGRADE
CitigroupBuy
Feb 26
UPGRADE
RBC CapitalOutperform
Feb 24
UPGRADE
CLSAUnderperform → Outperform
Feb 20
UPGRADE
UBSBuy
Feb 12
UPGRADE
CLSAOutperform → Underperform
Jan 27
DOWNGRADE
UBSSector Perform → Buy
Jan 22
UPGRADE
JefferiesBuy → Hold
Jan 21
UPGRADE
RBC CapitalSector Perform → Outperform
Jan 19
UPGRADE
Financials
Dividends3.80% yield
+795.8% avg annual growth
Annual Yield3.80%
Semi-Annual Div.$1.7300
Est. Annual / Share$3.46
FrequencySemi-Annual
Q3'23
Q1'24
Q3'24
Q1'25
Q2'25
Q3'25
Q4'25
Q1'26

Dividend per payment — last 8 periods

INSTITUTIONAL OWNERSHIP

1
Ninety One SA (PTY) Ltd
15.3M
2
Ninety One UK Ltd
2.0M
3
USS Investment Management Ltd
663K
4
Pictet Asset Management Holding SA
622K
5
STRS OHIO
402K
6
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC
337K
7
IFP Advisors, Inc
260K
8
Border to Coast Pensions Partnership Ltd
239K
News & Activity

AU News

20 articles · 4h ago

About

AngloGold Ashanti Limited is a global gold mining company. It was formed in 2004 by the merger of AngloGold and the Ashanti Goldfields Corporation. It is now a global gold producer with 21 operations on four continents.

Country
South Africa
Rafael HerzVice President of Sustainability - Subsidiary
Andy LarkinVice President of Investor Relations
Massoud MassoudiSenior Vice President Capital Projects
Peers(7 companies)
Screen sector →
SymbolPriceDay %Mkt CapP/ERev GrwMarginELO
AU
$93.72+3.59%$47.3B18.1+7077.5%2664.5%1500
$396.06+0.57%$2.1T28.7+3296.8%4510.0%1500
$91.86+2.89%$318.3B14.0+318.8%1510.7%1500
$131.91+1.13%$306.2B22.6+586.3%1305.9%1500
$187.37+1.17%$290.5B28.1+862.9%1745.9%1500
$147.85+3.44%$282.1B21.0+597.3%2564.4%1500
$90.67+1.98%$256.7B14.5-591.0%668.4%1500
Sector avg+2.11%21.0+1735.5%2138.5%1500