NCR Corp.

NCR is a provider of omni-channel technology solutions that enable the interactions of businesses with their customers. The company's offerings include automated teller machines, point of sale terminals and devices and self-service kiosks, and a complete suite of consulting, implementation, maintenance, support and managed services. The company also resell third-party networking products and provides related service offerings in the telecommunications and technology sectors. The company provides solutions for customers of varying sizes in a range of industries such as financial services, retail, hospitality, travel and telecommunications and technology.
  • TickerNCR
  • ISINUS62886E1082
  • ExchangeNew York Stock Exchange
  • SectorTechnology Hardware & Equipment
  • CountryUnited States

Analysts

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

NCR Corporation - March 2019 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

NCR Corporation - December 2018 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

NCR Corporation: Update to credit analysis

Weak operating performance trends weigh on credit profile

NCR Corporation - June 2018 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

NCR Corporation - March 2018 (LTM): Peer Snapshot

Compares key performance metrics against industry peers.

Alexander Korda

NCR Takeover Scenario Playing Out for Investors

In what seems to be a win for investors, ATM and point-of-sale terminal maker NCR Corp. (NCR) has been approached for a takeover by private equity firms (as of yet unnamed). This pushes the stock closer to our January takeover scenario valuation, though the company has not formally committed to selling itself. Read on for more details on the previous activism attempts and our potential Spinoff/sale scenarios. What's Interesting? The Edge Intelligence... Not New to Spinoffs: TDC Performance Outlined Bleeding Hardware Segment: Significant Revenue Decline Software & Services Segments: Key Growth...

1 director sold

A director at NCR Corp sold 31,029 shares at 29.980USD and the significance rating of the trade was 100/100. Is that information sufficient for you to make an investment decision? This report gives details of those trades and adds context and analysis to them such that you can judge whether these trading decisions are ones worth following. Included in the report is a detailed share price chart which plots discretionary trades by all the company's directors over the last two years clearly showing Close periods where trading activity is restricted under listing rules. The names of board memb...

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

ValuEngine Rating and Forecast Report for NCR

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Vermilion Compass: Weekly Equity Strategy

Market rangebound; Upgrading Services In last week's Compass we made several observations which led us to be cautious. All of the concerning observations have since reversed as the market found support: the U.S. dollar weakened, defensive areas underperformed, cyclical areas held at logical support, high yield spreads narrowed, and the 10-year Treasury yield found support. These positive developments are encouraging, however we believe the market remains rangebound. • S&P 500 levels. We believe the market remains in purgatory as technical indicators remain mixed. We see the S&P 500 remaining...

Dave Nicoski ...
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Vermilion Compass: Weekly Equity Strategy

The good outweighs the bad Our checklist of bullish indicators continues to grow as equal-weighted Financials (RYF), global Financials (IXG), global autos (CARZ), and the Dow Jones Transportation Average (IYT) are each decisively breaking topside critical resistance levels. These developments have led us to be incrementally more bullish. At the same time, biotech has succumbed to weakness within Health Care -- a point for the bears as it is one aspect that puts a damper on risk sentiment. Overall the good outweighs the bad and our positive outlook remains intact. • Sector Relative Strength R...

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