The share price of Bloomin’ Brands, Inc. [NASDAQ: BLMN] inclined by $19.44, presently trading at $19.30. The company’s shares saw 27.65% gains compared to the lowest price in the period of the last 52 weeks, set at $15.12 recorded on 09/12/19. The last few days have been tough to the share price as BLMN jumped by +1.37% during the last week, even though the stock is still down by -1.83% compared to 0.26 of all time high it touched on 09/12/19. However, the stock had a poor performance during the past 3 months, roughly gaining 15.02%, while additionally gaining 3.15% during the last 12 months. Bloomin’ Brands, Inc. is said to have a 12-month price target set at $21.25. That means that the stock has a strong potential to acquire 1.95% increase from the current trading price.

Bloomin’ Brands, Inc. [NASDAQ:BLMN]: Analyst Rating and Earnings

Its stock price has been found in the range of 15.12 to 22.22. This is compared to its latest closing price of $19.44.

Pay attention to the next-scheduled financial results for this company to be released, which is slated for Mon 4 Nov (In 53 Days).

Fundamental Analysis of Bloomin’ Brands, Inc. [BLMN]

Now let’s turn to look at profitability: with a current Operating Margin for Bloomin’ Brands, Inc. [BLMN] sitting at +4.45 and its Gross Margin at +11.29, this company’s Net Margin is now 2.60%. These metrics indicate that this company is not generating as much profit, after accounting for expenses, compared to its market peers.

This company’s Return on Total Capital is 15.85, and its Return on Invested Capital has reached 13.50%. Its Return on Equity is 254.05, and its Return on Assets is 4.25. These metrics show a mixed bag, which means that this investment’s attractiveness can be quickly increased or decreased in the short term, depending on future updates BLMN financial performance.

Turning to investigate this organization’s capital structure, Bloomin’ Brands, Inc. [BLMN] has generated a Total Debt to Total Equity ratio of 2,394.00. Similarly, its Total Debt to Total Capital is 95.99, while its Total Debt to Total Assets stands at 44.42. Looking toward the future, this publicly-traded company’s Long-Term Debt to Equity is 4.10, and its Long-Term Debt to Total Capital is 2,334.54.

What about valuation? This company’s Enterprise Value to EBITDA is 6.95 and its Total Debt to EBITDA Value is 2.84. The Enterprise Value to Sales for this firm is now 0.65, and its Total Debt to Enterprise Value stands at 0.41. Bloomin’ Brands, Inc. [BLMN] has a Price to Book Ratio of 35.13, a Price to Cash Flow Ratio of 5.75 and P/E Ratio of 16.44. These metrics all suggest that Bloomin’ Brands, Inc. is more likely to generate a positive ROI.

Shifting the focus to workforce efficiency, Bloomin’ Brands, Inc. [BLMN] earns $44,370 for each employee under its payroll. Similarly, this company’s Receivables Turnover is 35.41 and its Total Asset Turnover is 1.64. This publicly-traded organization’s liquidity data is also interesting: its Quick Ratio is 0.31 and its Current Ratio is 0.40. This company is not investing its short-term assets in an optimally efficient way, making it a riskier investment.

Bloomin’ Brands, Inc. [BLMN] has 87.52M shares outstanding, amounting to a total market cap of $1.69B. Its stock price has been found in the range of 15.12 to 22.22. At its current price, it has moved down by -13.14% from its 52-week high, and it has moved up 27.65% from its 52-week low.

This stock’s Beta value is currently 0.31, which indicates that it is 2.52% more volatile that the wider market. This stock’s Relative Strength Index (RSI) is at 72.22. This RSI suggests that Bloomin’ Brands, Inc. is currently Overbought.

Conclusion: Is Bloomin’ Brands, Inc. [BLMN] a Reliable Buy?

Shares of Bloomin’ Brands, Inc. [BLMN], on the whole, present investors with both positive and negative signals. Wall Street analysts have mixed reviews when it comes to the 12-month price outlook, and this company’s financials show a combination of strengths and weaknesses. Based on the price performance, this investment is somewhat risky while presenting reasonable potential for ROI.