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 US Market Open: Jul 29, 16:00 PM 2010 
  NYSE  6994.68  4.50  Index Moved Down   NASDAQ  2251.80  12.76  Index Moved Down 
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International Flavors & Fragrances Inc. financials, fundamentals and performance

    
45.58
  
Intraday
 
One Month
(0.45)  Macroaxis: -0.98 Down   0.98%  
 Year Low / High 
 33.95 1100,1700,1700,1105,1095 51.77 
    
 International Flavors & Fr is Bearish IFF Macroaxis: United States NYSE
 International Flavors & Fr
 Trade IFF
 
 Share Internationa
Market Cap 3.625B   Book Value 10.244   EBITDA 472.5M   PEG Ratio 2.89   EPS 2.674   P/E 17.21   P/B Ratio 4.49   Short Ratio 1.40   Index Membership S&P   Sector Basic Materials   Full Time Employees 5,377   Specialty Chemicals   Open 46.45   High 46.68   Low 45.53   Volume 572.5 K   Target Price 52.75   Current EPS 2.674   This Year EPS 3.18   Next Year EPS 3.51   Current PE 17.21   This Year PE 14.47   Next Year PE 13.11   Dividend 1.00   Dividend Yield 2.17   Dividend Date Jul  7  

30-Days Risk-Return Take

    
InternationaRisk FreeMarket
    

Profile

    
International Flavors & Fragrances Inc.?s Governance Risk Indicator (GRI?) as of Jul 1, 2010 is: Board (Low Risk), Audit (Low Risk), Compensation (Medium Risk), Shareholder Rights (Low Risk).
 Macroaxis: United States NYA   0.06 % Macroaxis: 0.06 Moved Down  
 
 Macroaxis: United States GSPC   0.41 % Macroaxis: 0.41 Moved Down  
 
 Macroaxis: United States IXIC   0.56 % Macroaxis: 0.56 Moved Down  
 
 Macroaxis: thisRed IFF   0.98 % Macroaxis: 0.98 Moved Down  
 
    

Performance    Embed Financials

    
    
 Embed Financials
International Flavors & Fragrances Inc.?s Governance Risk Indicator (GRI?) as of Jul 1, 2010 is: Board (Low Risk), Audit (Low Risk), Compensation (Medium Risk), Shareholder Rights (Low Risk).
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30-Days Moving Rating

    

Macroaxis Total Score 

    
10
Current 30 Days Moving Rating
GENERALIFFGDLGENLKINGSGATE
    
IFF financials 

Current Net Investing Interest   

 
 
    

Estimated Market Risk

 1.63
  actual daily
 
 77 %
of total potential
 
Market Risk score

Expected Return

 0.33
  actual daily
 
 16 %
of total potential
 
Expected Return score

Risk-Adjusted Return

 0.2
  actual daily
 
 20 %
of total potential
 
Risk-Adjusted Return score
Based on monthly moving average   [ change ] 
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 Last Intraday

    
 
(0.45)Macroaxis: -0.45 Up0.98%
 
46.03,46.03,45.58,45.58,46.68,45.53,45.58
 
46.0345.58
    

Partner Center

    
    

SEC Filings

    

Current Reports

 
 
 

11-K

 

Quarterly Reports

 

ARS

 

DEFA14A

 

DEF 14A