Fox Corporation, with a diverse portfolio in news, sports, and entertainment, shows stability in analyst ratings amidst market fluctuations. As of June 2025, the company's stock holds a predominant 'Hold' rating, reflecting a cautious market sentiment. The continuous 'Buy' interest indicates underlying confidence, despite a significant drop in 'Strong Buy' ratings over the past year, suggesting a more conservative stance amongst analysts.
Rating | Count | Score |
---|---|---|
Strong Buy | 1 | |
Buy | 8 | |
Hold | 11 | |
Sell | 2 | |
Strong Sell | 0 |
Date | New Recommendation | Last Recommendation | Publisher |
---|---|---|---|
2025-05-13 | Equal Weight | Equal Weight | Morgan Stanley |
2025-05-13 | Buy | Buy | Loop Capital |
2025-05-13 | Buy | Buy | UBS |
2025-05-13 | Overweight | Overweight | Wells Fargo |
2025-05-13 | Equal Weight | Equal Weight | Barclays |
Date | New Recommendation | Last Recommendation | Publisher |
---|---|---|---|
2025-04-07 | Underperform | Peer Perform | Wolfe Research |
2025-01-21 | Neutral | Buy | MoffettNathanson |
2024-08-16 | Overweight | Underweight | Wells Fargo |
2024-05-09 | Buy | Neutral | B of A Securities |
2024-04-05 | Buy | Neutral | Seaport Global |
The market sentiment for Fox Corporation suggests cautious optimism, as evidenced by the predominance of 'Hold' and 'Buy' ratings. The decline in 'Strong Buy' ratings indicates analysts' conservative outlook amidst market uncertainties. Upgrades and downgrades over the past year reflect shifting perspectives but maintain a general confidence in stable performance. Although ratings fluctuate, the overall sentiment implies a reserved but steady trust in company fundamentals.
Fox Corporation's analyst sentiment highlights a balanced perspective, weighing stability against growth prospects. The increased 'Hold' ratings paired with consistent 'Buy' interest suggests a stable long-term outlook with moderate risk due to potential market volatility. Analysts show confidence in Fox's strategic presence in the news, sports, and entertainment sectors, but remain conservative given economic variables. This suggests potential cautious investment interest with considerations of shifts in industry dynamics that might affect short-term volatility.