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LYB

LyondellBasell Industries NV (S&P 500)

Basic Materials — Specialty Chemicals

LyondellBasell Industries N.V. operates as a chemical company in the United States, Germany, China, Mexico, Italy, Japan, France, Poland, the Netherlands, and internationally. It operates in five segments: Olefins and Polyolefins—Americas; Olefins and Polyolefins—Europe, Asia, International; Intermediates and Derivatives; Advanced Polymer Solutions; and Technology. The company produces and markets olefins and co-products, such as ethylene, aromatics, propylene and butadiene; polyolefins; polyethylene; polypropylene homopolymers and copolymers; propylene oxide and derivatives; oxyfuels and related products; and intermediate chemicals, such as styrene monomer and acetyls. It also produces and markets compounding and solutions, including polypropylene compounds, engineered plastics, masterbatches, and engineered composites and colors. In addition, it develops and licenses chemical and polyolefin process technologies; and manufactures and sells polyolefin catalysts and serves food packaging, home furnishings, automotive components, and paints and coatings applications. LyondellBasell Industries N.V. was incorporated in 2009 and is headquartered in Rotterdam, the Netherlands.

Hold 2.8 / 5 17 analysts
$58.22
$-0.40 (-0.68%)
Target: $66.71 (14.6%)
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Price History

52-Week Range

Fundamentals

Market Cap$18.79B
P/E Ratio (TTM)-
Forward P/E9.03
EPS (TTM)$-2.12
Dividend Yield7.03%
Profit Margin-2.69%
Revenue Growth-6.30%
ROE-6.01%
Debt/Equity141.24
Recommendation Hold 2.8
Analyst Target$66.71
Analysts17
Indexes S&P 500

Technical Indicators

RSI (14)59.7
Beta0.36
SMA 20$57.43
SMA 40$59.69
52-Week High$83.94
52-Week Low$41.58
50-Day Avg$62.15
200-Day Avg$57.94
Avg Volume$5.39M
Volume$3.94M

Performance Analysis

NEUTRAL

LYB presents a mixed picture with both positive and negative indicators.

~ Trading at 39% of its 52-week range.
+ RSI at 59.7 shows positive momentum.
~ Price dropped below the 50-day average but remains above the 200-day — possible short-term weakness.
- Revenue declined 6.3% year-over-year.
- Operating at a loss with -2.7% margin.
~ Wall Street consensus is "Hold" from 17 analysts.
+ Average analyst target of $66.71 implies 14.6% upside.

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Last updated: Jul 28, 2026 21:01 UTC

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