LyondellBasell Industries, a key player in the chemical sector, has experienced varied analyst sentiment over recent months. With operations spanning several international markets, the company remains a focus for analysts, particularly within its diverse segment operations including Olefins and Polyolefins, Intermediates and Derivatives, and Advanced Polymer Solutions.
Rating | Count | Score |
---|---|---|
Strong Buy | 1 | |
Buy | 5 | |
Hold | 14 | |
Sell | 2 | |
Strong Sell | 1 |
The sentiment around LYB stock has displayed a shift towards more conservative positions over the analyzed months. Significant points include:
Throughout the analyzed timeframe, LYB ratings have seen shifts that suggest a more cautious market outlook.
Recent analyst recommendations show a predominant trend towards maintaining current ratings without new up/downgrades.
Date | New Recommendation | Last Recommendation | Publisher |
---|---|---|---|
2025-05-01 | Neutral | Neutral | Piper Sandler |
2025-05-01 | Equal Weight | Equal Weight | Barclays |
2025-04-30 | Market Perform | Market Perform | BMO Capital |
2025-04-29 | Neutral | Neutral | Citigroup |
2025-04-29 | Sector Perform | Sector Perform | RBC Capital |
Some analysts have adjusted their outlook on LYB, either upgrading or downgrading previous ratings, indicating a dynamic assessment.
Date | New Recommendation | Last Recommendation | Publisher |
---|---|---|---|
2025-04-28 | Buy | Hold | Fermium Research |
2025-04-07 | Sell | Neutral | UBS |
2025-04-04 | Neutral | Overweight | JP Morgan |
2025-01-07 | Neutral | Overweight | Piper Sandler |
2024-02-05 | Overweight | Neutral | JP Morgan |
The current market sentiment on LYB reflects a strategic transition, with analysts showing increased caution. The shift from 'Strong Buy' to more 'Hold' and 'Neutral' ratings suggests hesitations in predicting aggressive growth. However, changes in certain recommendations indicate room for strategic investment opportunities amid observed neutrality trends.
Overall, LyondellBasell Industries presents a mixed investment profile. While traditionally strong, recent conservative shifts highlight potential market uncertainties. This warrants close monitoring of future ratings and underlying sector developments. Despite these, some positive changes suggest that opportunities remain viable for informed investors.