Price Development and Current Status
As of June 16, 2025, the Brenntag stock is quoted at approximately 60.00 EUR, following a decline of 1.06 EUR compared to the previous day. The recent historical prices show fluctuations between approximately 59.74 EUR and 61.06 EUR over the past days. Therefore, the stock remains in a volatile phase.
Relative Strength Index (RSI) – Technical Analysis
The Relative Strength Index (RSI) is used as an indicator of overbought or oversold conditions. According to the analysis, the Brenntag stock is currently considered undervalued according to the RSI assessment – a signal that the stock may regain value shortly.
However, it should be noted:
- Long-term Trend: Since mid-May, the stock has been in a long-term downtrend.
- Crossover of the 100-Day Line: On June 5, 2025, a positive signal was given with a price above the important technical mark of approximately 60.50 EUR.
- Current Volatility: Recent price fluctuations indicate uncertainty in the market.
Fundamental Assessment
Industry & Sector
Brenntag operates in the chemical sector and is one of the leading chemical distributors worldwide.
Performance & Yield
Over a ten-year period, the Brenntag stock achieved an average of +1.8% per year – a rather moderate performance for a blue-chip in the chemical sector. An investment of 10,000 Euros would thus have resulted in only a modest increase in value over ten years.
Analyst Opinions
Deutsche Bank sees further upside potential for the stock; however, discounts are also possible, and the rating is at “B”, indicating an average to weak performance.
Summary Assessment
Indicator | Value/Rating |
---|---|
Price on June 16, 2025 | approximately 60.00 EUR |
Change from Previous Day | -1.06 EUR |
RSI | Undervalued |
Long-term Trend | Downtrend since mid-May |
Crossover of MA Lines | Positive in early June |
Analyst Rating | B-Rating (average/weak performance) |
Industry | Chemical Distribution |
Conclusion for Investors
According to the RSI, the Brenntag stock offers short-term opportunities because of its undervaluation; however, uncertainty persists due to the longer-term downtrend and moderate historical returns. Analysts still see potential – especially following positive signals such as the crossover of important average lines – but the overall picture remains cautiously optimistic to neutral.
Investors should consider both technical signals and fundamental metrics and may want to wait for further positive impulses from the company or the market before taking larger positions.