Samsonite International (SMSEY.US) – Strong Sell: Rating and Stock Analysis 2026/2027
No analysts currently cover Samsonite International with a public price target. We add the price target automatically as soon as at least one analyst publishes a rating. Until then, use the technical analysis and the key figures below.
About Samsonite International – Footwear & Accessories
Samsonite International S.A. designer, producerer og sælger rejsebagage globalt. De tjener penge på at levere alt fra kufferter og computertasker til rejseaccessories. Deres produkter sælges under kendte mærker som Samsonite, Tumi og American Tourister. Virksomheden driver salg gennem både egne butikker, e-handel og via engroskanaler. Samsonite har et bredt marked, der dækker Nordamerika, Europa, Asien og Latinamerika. De tilbyder også specialiserede tasker, for eksempel under mærket Speck, der laver beskyttende etuier til elektronik. Virksomheden blev grundlagt helt tilbage i 1910 og har hovedsæde i Luxembourg. Read more about the companyKey Figures for Samsonite International
What kind of stock is Samsonite International?
Samsonite International is classified as a value stock and quality stock. This means the stock combines several attractive traits, strong financial health (Piotroski 9/9).
Score Overview for Samsonite International
📈 Valuation
Samsonite International trades at a P/E ratio of 9.8, which is below the market average and can point to an attractive price. The forward P/E is 10.5. The P/S ratio is 0.8 (low — potentially undervalued relative to revenue). The P/B ratio is 1.8. The PEG ratio is 1.69.
💵 Profitability & Growth
Samsonite International has a profit margin of 8.3% (moderate) and an operating margin of 17.1%. Return on equity (ROE) is 19.4% — solid return on equity. Return on assets (ROA) is 6.6%. The latest quarterly earnings grew -9.9% year over year — falling earnings.
🏦 Financial Health
The Piotroski score is 9 out of 9 — excellent financial health. Altman Z2 is 2.42 (middle zone — moderate). The debt-to-equity ratio (D/E) is 249.3% — high debt, which raises the risk.
Samsonite International Dividend 2026
Dividend Key Figures for Samsonite International in 2026
When does Samsonite International pay a dividend in 2026?
How much does Samsonite International pay in dividends?
Samsonite International pays dividends to its shareholders. The most recently paid dividend was 0.52 USD per share.
The payout ratio is 52.1%, which is considered healthy and sustainable. The company balances rewarding shareholders with reinvesting in growth.
Historical Dividend Payments for Samsonite International
We have registered dividend payments for Samsonite International since 2024-06-12. In that period the stock has paid a dividend 1 times, most recently on 2024-06-12. However, the stock does not qualify as a stable or sporadic dividend stock, because the dividend payments have been inconsistent in recent years.
| Ex-date | Payment date | Amount | Currency | Period |
|---|---|---|---|---|
| 2024-06-12 | 2024-07-31 | 0.52 | USD | Unknown period |
When Does Samsonite International Report Earnings?
The next earnings date for Samsonite International is not yet available. Check the company's investor calendar for more information.Technical Analysis of Samsonite International 2026 – Signal: Strong Sell
Based on trend analysis (SMA50/SMA200) and MACD trend (positive/negative on a daily + weekly basis). Updated August 6, 2026.
Trend Analysis of Samsonite International S.A
Samsonite International S.A is in a short-term uptrend. The price of $9.20 is 3.6% above the 20-day average ($8.88). Medium term, the picture is negative: the price is 0.0% below the 50-day average ($9.20). Long term, the stock is 14.7% below the 200-day average ($10.78), which signals a long-term downtrend.
Death Cross: The 50-day average (9.20) is below the 200-day average (10.78), which is a classic bearish signal for Samsonite International S.A.
Is Samsonite International S.A overbought or oversold?
Samsonite International S.A has an RSI of 54.5, right in the middle of the neutral zone. There is no clear buying or selling pressure.
MACD Analysis for Samsonite International S.A
Daily MACD: MACD is negative (-0.038), which means the short-term trend is bearish (the 12-day EMA is below the 26-day EMA). MACD is above the signal line (-0.088) by 0.050, which suggests the negative momentum is fading – a potential trend reversal could be ahead.
Weekly MACD: MACD5 is negative (-0.586), which indicates a broader bearish long-term trend. MACD5 is below the signal line (-0.570) by 0.016, which confirms continued negative long-term momentum.
Overall MACD assessment: Both the daily and weekly trend are bearish (MACD negative). However, momentum shows signs of improving on a daily basis – a potential trend reversal could be ahead, but it is not confirmed yet.
Risk Profile for Samsonite International S.A
Samsonite International S.A has an annual standard deviation of 40.0%, which classifies the stock as medium risk. The price can swing noticeably when the market moves.
Overall Technical Conclusion for Samsonite International S.A
Trend: Negative. The price trades below SMA50 and SMA200.
MACD trend (zero line): Daily bearish (-0.038). Weekly bearish (-0.586).
MACD momentum (signal): Daily rising. Weekly falling.
RSI: 54.5 – neutral.
Technical signal: Strong Sell
The price is in a downtrend (below SMA50/SMA200) and MACD is negative on both a daily and weekly basis. Avoid buying and consider closing existing positions.