Zoetis

Zoetis

Price: 81.29

Company and Business Model

Zoetis Inc. is a global leader in animal health, providing a range of products and services for livestock and companion animals. Its core offerings include vaccines, parasiticides, and pharmaceuticals, with major business segments focusing on livestock (cattle, poultry, swine) and companion animals (dogs, cats). The company generates revenue primarily from product sales, with a growing emphasis on diagnostics and digital health solutions.

Investment Profile

The investment profile of Zoetis is more aligned with dividends and balanced investors, given its stable revenue from established products and a consistent dividend yield. The company exhibits moderate growth potential, but current market conditions suggest a cautious approach.

Official website

Fundamental metrics (experimental)

EPS (TTM) — earnings per share for the last 12 months, $
6.04 OK
Revenue QoQ — quarter-over-quarter revenue growth
-5.2%
EPS surprise
-4.4% in line
20d volatility
2.0% stable
Dividend yield
3.2% moderate last ex-date: 2026-07-20
FMP / FinFeed data updated: 2026-06-10

Forecast impact

negative
Target Lowered · Stifel Nicolaus · valid until 2026-06-21 · updated 2026-06-11
Target +16.9% target fill 85.6%
Reaction D5 +1.37% · D10 +4.85% market trust
Impact Potential -4 · Risk +3 up to 30 days or until target is reached
Reco: Sell Potential: 32 Risk: 75 Updated: 2026-06-11 05:29
How recommendation works
Why AI thinks so:
Weak fundamentals and negative momentum raise significant risk.

Track in portfolio

Price chart

AI recommendation Analyst forecast Calendar event Positive signal Negative signal Neutral / update Hold / informational B My buy S My sell
AI recommendation changes
Date Before After Reason
2026-06-03 02:57 Hold Sell Weak fundamentals and negative momentum signal high risk.
2026-05-08 15:20 Hold Negative momentum and fundamentals indicate high risk.
2026-05-08 06:40 Hold Hold Компания испытывает значительное снижение цен на акции за последние месяцы, что указывает на высокие риски. Учитывая отрицательную динамику выручки и высокую волатильность, рекомендуется продажа.
Analyst forecasts
Date Analyst Action Target Price Then
2026-05-22 10:48 Stifel Nicolaus Target Lowered 105 → 95 80.06
2026-05-15 12:29 Morgan Stanley Target Lowered 160 → 115 76.06
2026-05-08 14:31 UBS Target Lowered 130 → 99 83.27