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68.61 USD
P/E
44.27
EPS
1.56
Yield
2.42%
Safety Score
58
P/B
1.69
ROE
3.99
Beta
0.39
Target Price
80.18 USD
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Key Metrics
Earnings dateNov. 3, 2026
P/E44.27
EPS1.56
Book Value40.84
Price to Book1.69
Debt/Equity78.93
% Insiders1.176%
Growth
Revenue Growth0.07%
Estimates
Forward P/E16.02
Forward EPS4.31
Target Mean Price80.18
Dividend
Dividend Yield2.42%
Annual dividends1.67 USD
Ex-Div. DateSept. 1, 2026
Payout146.15%
5y avg Yield1.89%

DCF Valuation

Tweak assumptions to recompute fair value for Ashland Global Holdings Inc. (ASH)
Currency: USD
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DCF Result

Fair Value (DCF)
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Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Ashland Global Holdings Inc. Logo Ashland Global Holdings Inc. Analysis (ASH)

United States Materials Official Website Stock

Is Ashland Global Holdings Inc. a good investment? Ashland Global Holdings Inc. (ASH) is currently trading at 68.61 USD. Market analysts have a consensus price target of 80.18 USD. This suggests a potential upside from current levels.

In terms of valuation, the stock trades at a P/E ratio of 44.27. This high multiple suggests investors have priced in significant future growth expectations.

Earnings Schedule: Ashland Global Holdings Inc. is expected to release its next earnings report on Nov. 3, 2026. The market consensus estimate for Forward EPS is 4.31.

For income investors, Ashland Global Holdings Inc. pays a dividend yield of 2.42%. With a payout ratio of 146%, the dividend appears to be under pressure.

Investor FAQ

Does Ashland Global Holdings Inc. pay a dividend?

Yes, it pays an annual dividend of 1.67 USD (2.42% yield).

What asset class is Ashland Global Holdings Inc.?

Ashland Global Holdings Inc. is classified as a Stock. You can compare it against 3 other assets in the "Related Symbols" list on this page.

When is the next earnings date?

The next earnings date is projected to be Nov. 3, 2026. The company currently has a trailing EPS of 1.56.

Company Profile

Ashland Inc. provides additives and specialty ingredients in the North and Latin America, Europe, Asia Pacific, and internationally. It operates through Life Sciences, Personal Care, Specialty Additives, and Intermediates segments. The Life Sciences segment offers pharmaceutical solutions, including controlled release polymers, disintegrants, tablet coatings, thickeners, solubilizers, and tablet binders; and nutrition solutions, such as thickeners, stabilizers, emulsifiers, and additives; agricultural chemicals; diagnostic films; and fine chemicals. Its Personal Care segment provides a range of natural, nature-derived, biodegradable, and performance ingredients; solutions for toothpastes, mouth washes and rinses, denture cleaning, and care for teeth; and household supplies nature-derived rheology ingredients, biodegradable surface wetting agents, performance encapsulates, and specialty polymers. The Specialty Additives segment offers rheology modifiers, foam control agents, surfactants and wetting agents, pH neutralizers, advanced ceramics used in catalytic converters, environmental filters, ingredients for the manufacturing of ceramic capacitors, plasma display panels and solar cells, ingredients for textile printing, thermoplastic metals, and alloys for welding. Its Intermediates segment produces 1,4 butanediol and related derivatives, including n-methylpyrrolidone. It offers its products to customers in a range of consumer and industrial markets, such as architectural coatings, construction, energy, food and beverage, personal care, and pharmaceutical. The company was formerly known as Ashland Global Holdings Inc. and changed its name to Ashland Inc. in August 2022. Ashland Inc. was founded in 1924 and is headquartered in Wilmington, Delaware.

Exchange Ticker
NYQ (United States) ASH
FRA (Germany) AHT.F
STU (Germany) AHT.SG
Trades
Dividend Yield
2.42%
5y avg 1.89%
Annual Dividends
1.67USD
Next Ex. Div Date
Sept. 1, 2026
Payout Ratio
146.15%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
▸2027
1.38 USD
Sept. 15, 2027 (estimated) 0.4629
June 15, 2027 (estimated) 0.4629
March 15, 2027 (estimated) 0.4520
▸2026
1.71 USD
Dec. 15, 2026 (estimated) 0.4574
Sept. 15, 2026 0.4200
June 15, 2026 0.4200
March 15, 2026 0.4150
▸2025
1.65 USD
Dec. 15, 2025 0.4150
Sept. 15, 2025 0.4150
June 15, 2025 0.4150
March 15, 2025 0.4050
▸2024
1.60 USD
Dec. 15, 2024 0.4050
Sept. 15, 2024 0.4050
June 15, 2024 0.4050
March 15, 2024 0.3850
▸2023
1.49 USD
Dec. 15, 2023 0.3850
Sept. 15, 2023 0.3850
June 15, 2023 0.3850
March 15, 2023 0.3350
▸2022
1.31 USD
Dec. 15, 2022 0.3350
Sept. 15, 2022 0.3350
June 15, 2022 0.3350
March 15, 2022 0.3000
▸2021
1.17 USD
Dec. 15, 2021 0.3000
Sept. 15, 2021 0.3000
June 15, 2021 0.3000
March 15, 2021 0.2750
▸2020
1.10 USD
Dec. 15, 2020 0.2750
Sept. 15, 2020 0.2750
June 15, 2020 0.2750
March 15, 2020 0.2750
▸2019
1.08 USD
Dec. 15, 2019 0.2750
Sept. 15, 2019 0.2750
June 15, 2019 0.2750
March 15, 2019 0.2500
▸2018
0.98 USD
Dec. 15, 2018 0.2500
Sept. 15, 2018 0.2500
June 15, 2018 0.2500
March 15, 2018 0.2250
▸2017
1.07 USD
Dec. 15, 2017 0.2250
Sept. 15, 2017 0.2250
June 15, 2017 0.2250
March 15, 2017 0.3900
▸2016
1.56 USD
Dec. 15, 2016 0.3900
Sept. 15, 2016 0.3900
June 15, 2016 0.3900
March 15, 2016 0.3900
▸2015
1.51 USD
Dec. 15, 2015 0.3900
Sept. 15, 2015 0.3900
June 15, 2015 0.3900
March 15, 2015 0.3400
▸2014
1.36 USD
Dec. 15, 2014 0.3400
Sept. 15, 2014 0.3400
June 15, 2014 0.3400
March 15, 2014 0.3400
▸2013
1.25 USD
Dec. 15, 2013 0.3400
Sept. 15, 2013 0.3400
June 15, 2013 0.3400
March 15, 2013 0.2250
▸2012
0.85 USD
Dec. 15, 2012 0.2250
Sept. 15, 2012 0.2250
June 15, 2012 0.2250
March 15, 2012 0.1750
▸2011
0.67 USD
Dec. 15, 2011 0.1750
Sept. 15, 2011 0.1750
June 15, 2011 0.1750
March 15, 2011 0.1500
▸2010
0.52 USD
Dec. 15, 2010 0.1500
Sept. 15, 2010 0.1500
June 15, 2010 0.1500
March 15, 2010 0.0750
▸2009
0.30 USD
Dec. 15, 2009 0.0750
Sept. 15, 2009 0.0750
June 15, 2009 0.0750
March 15, 2009 0.0750
▸2008
0.90 USD
Dec. 15, 2008 0.0750
Sept. 15, 2008 0.2750
June 15, 2008 0.2750
March 15, 2008 0.2750
▸2007
1.10 USD
Dec. 15, 2007 0.2750
Sept. 15, 2007 0.2750
June 15, 2007 0.2750
March 15, 2007 0.2750
▸2006
11.30 USD
Dec. 15, 2006 0.2750
Oct. 26, 2006 10.2000
Sept. 15, 2006 0.2750
June 15, 2006 0.2750
March 15, 2006 0.2750
▸2005
1.10 USD
Dec. 15, 2005 0.2750
Sept. 15, 2005 0.2750
June 15, 2005 0.2750
March 15, 2005 0.2750
▸2004
1.10 USD
Dec. 15, 2004 0.2750
Sept. 15, 2004 0.2750
June 15, 2004 0.2750
March 15, 2004 0.2750
▸2003
1.10 USD
Dec. 15, 2003 0.2750
Sept. 15, 2003 0.2750
June 15, 2003 0.2750
March 15, 2003 0.2750
▸2002
1.10 USD
Dec. 15, 2002 0.2750
Sept. 15, 2002 0.2750
June 15, 2002 0.2750
March 15, 2002 0.2750
▸2001
1.10 USD
Dec. 15, 2001 0.2750
Sept. 15, 2001 0.2750
June 15, 2001 0.2750
March 15, 2001 0.2750
▸2000
1.10 USD
Dec. 15, 2000 0.2750
Sept. 15, 2000 0.2750
June 15, 2000 0.2750
March 15, 2000 0.2750
▸1999
1.10 USD
Dec. 15, 1999 0.2750
Sept. 15, 1999 0.2750
June 15, 1999 0.2750
March 15, 1999 0.2750
▸1998
1.10 USD
Dec. 15, 1998 0.2750
Sept. 15, 1998 0.2750
June 15, 1998 0.2750
March 15, 1998 0.2750
▸1997
1.10 USD
Dec. 15, 1997 0.2750
Sept. 15, 1997 0.2750
June 15, 1997 0.2750
March 15, 1997 0.2750
▸1996
1.10 USD
Dec. 15, 1996 0.2750
Sept. 15, 1996 0.2750
June 15, 1996 0.2750
March 15, 1996 0.2750
▸1995
1.10 USD
Dec. 15, 1995 0.2750
Sept. 15, 1995 0.2750
June 15, 1995 0.2750
March 15, 1995 0.2750
▸1994
1.03 USD
Dec. 15, 1994 0.2750
Sept. 15, 1994 0.2500
June 15, 1994 0.2500
March 15, 1994 0.2500
▸1993
1.00 USD
Dec. 15, 1993 0.2500
Sept. 15, 1993 0.2500
June 15, 1993 0.2500
March 15, 1993 0.2500
▸1992
1.00 USD
Dec. 15, 1992 0.2500
Sept. 15, 1992 0.2500
June 15, 1992 0.2500
March 15, 1992 0.2500
▸1991
1.00 USD
Dec. 15, 1991 0.2500
Sept. 15, 1991 0.2500
June 15, 1991 0.2500
March 15, 1991 0.2500
▸1990
1.00 USD
Dec. 15, 1990 0.2500
Sept. 15, 1990 0.2500
June 15, 1990 0.2500
March 15, 1990 0.2500
▸1989
1.00 USD
Dec. 15, 1989 0.2500
Sept. 15, 1989 0.2500
June 15, 1989 0.2500
March 15, 1989 0.2500
▸1988
1.45 USD
Dec. 15, 1988 0.2500
Sept. 15, 1988 0.2500
June 15, 1988 0.5000
March 15, 1988 0.4500
▸1987
1.80 USD
Dec. 15, 1987 0.4500
Sept. 15, 1987 0.4500
June 15, 1987 0.4500
March 15, 1987 0.4500
▸1986
1.75 USD
Nov. 14, 1986 0.4500
Aug. 7, 1986 0.4500
May 20, 1986 0.4500
Feb. 7, 1986 0.4000
▸1985
1.60 USD
Nov. 13, 1985 0.4000
Aug. 6, 1985 0.4000
May 23, 1985 0.4000
Feb. 6, 1985 0.4000
▸1984
1.60 USD
Nov. 13, 1984 0.4000
Aug. 7, 1984 0.4000
May 22, 1984 0.4000
Feb. 7, 1984 0.4000
▸1983
1.40 USD
Nov. 4, 1983 0.4000
Aug. 8, 1983 0.4000
May 17, 1983 0.6000
Upcoming Dividends
Name Payment Date Status Amount
Ashland Global Holdings Inc. Sep 15, 2026 0.42 USD
Ashland Global Holdings Inc. Jun 15, 2026 0.42 USD
Ashland Global Holdings Inc. Mar 15, 2026 0.415 USD
Ashland Global Holdings Inc. Dec 15, 2025 0.415 USD
Stock Splits
Split Date Split Ratio to 1
Jan. 15, 1979 1.5
July 29, 1988 2:1
March 30, 2000 1.06
July 1, 2005 1.22
May 15, 2017 2.04
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