Total Returns (Price + Dividend) 
Smith & Wesson Brands, Inc. for the last several years.
Risk Adjusted Returns v/s 
News

Smith & Wesson Forms Golden Cross, Signaling Potential Bullish Breakout
Smith & Wesson Brands, Inc. has recently experienced a Golden Cross, indicating a potential shift in momentum. Despite a one-year performance decline and mixed technical indicators, this event may suggest a turning point as investors monitor the stock's recovery potential amid broader market trends.
Read MoreIs Smith & Wesson Brands, Inc. technically bullish or bearish?
As of 4 September 2025, the technical trend for Smith & Wesson Brands, Inc. has changed from bearish to mildly bearish. The current stance is mildly bearish, driven by the daily moving averages indicating a bearish sentiment and the monthly MACD and KST showing bearish signals. However, the weekly MACD and OBV are mildly bullish, suggesting some short-term strength. The RSI on a monthly basis is bullish, but the overall trend remains cautious. In terms of multi-period returns, the stock has underperformed the S&P 500 significantly over the 1Y, 3Y, and 5Y periods, with returns of -28.49%, -16.31%, and -37.52% respectively, compared to the S&P 500's 17.14%, 70.41%, and 96.61%....
Read MoreIs Smith & Wesson Brands, Inc. overvalued or undervalued?
As of 18 June 2025, the valuation grade for Smith & Wesson Brands, Inc. has moved from fair to very attractive, indicating a significant improvement in its perceived value. The company appears to be undervalued, particularly when considering its P/E ratio of 22, which is relatively low compared to its peer Virgin Galactic Holdings, Inc. with a P/E of approximately 48. Additionally, the EV to EBITDA ratio stands at 11.69, suggesting a favorable valuation relative to earnings before interest, taxes, depreciation, and amortization. In the context of its industry, Smith & Wesson's Price to Book Value of 1.89 and a dividend yield of 3.49% further reinforce its attractiveness as an investment. While the stock has struggled in the past year with a return of -28.49% compared to the S&P 500's 17.14%, it has shown resilience with a recent one-month return of 16.87% against the S&P 500's 2.33%. This performance may i...
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Shareholding Snapshot : Jan 2025
Shareholding Compare (%holding) 
Domestic Funds
Held in 41 Schemes (32.54%)
Held by 65 Foreign Institutions (5.01%)
Quarterly Results Snapshot (Consolidated) - Jul'25 - QoQ
QoQ Growth in quarter ended Jul 2025 is -39.56% vs 21.48% in Apr 2025
QoQ Growth in quarter ended Jul 2025 is -135.05% vs 470.59% in Apr 2025
Annual Results Snapshot (Consolidated) - Apr'25
YoY Growth in year ended Apr 2025 is -11.40% vs 11.81% in Apr 2024
YoY Growth in year ended Apr 2025 is -67.63% vs 12.20% in Apr 2024






