D
Sell
10/25/2024Upgraded
Warner Bros. Discovery, Inc. (WBD) was upgraded to D- from E+ on 10/25/2024 due to an increase in the volatility index and total return index.
E
Sell
10/10/2024Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to E+ from D- on 10/10/2024 due to a decline in the volatility index.
D
Sell
9/20/2024Upgraded
Warner Bros. Discovery, Inc. (WBD) was upgraded to D- from E+ on 9/20/2024 due to an increase in the volatility index and total return index.
E
Sell
9/5/2024Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to E+ from D- on 9/5/2024 due to a decline in the volatility index.
D
Sell
8/16/2024Upgraded
Warner Bros. Discovery, Inc. (WBD) was upgraded to D- from E+ on 8/16/2024 due to an increase in the valuation index.
E
Sell
2/29/2024Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to E+ from D- on 2/29/2024 due to a decline in the volatility index, total return index and valuation index.
D
Sell
8/4/2023Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to D- from D on 8/4/2023 due to a significant decline in the efficiency index and solvency index. Net income declined 16% from -$1.07B to -$1.24B, and total capital declined 2.79% from $96.77B to $94.08B.
D
Sell
8/8/2022Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to D from D+ on 8/8/2022 due to a significant decline in the valuation index, efficiency index and growth index. Net income declined 849.56% from $456M to -$3.42B, EBIT declined 463.82% from $445M to -$1.62B, and earnings per share declined from $0.6857 to -$1.5.
D
Sell
6/24/2022Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to D+ from C- on 6/24/2022 due to a decline in the total return index and volatility index.
C
Hold
6/9/2022Downgrade
Warner Bros. Discovery, Inc. (WBD) was downgraded to C- from C on 6/9/2022 due to a large decline in the growth index, volatility index and total return index. Operating cash flow declined 63.46% from $884M to $323M, EBIT declined 20.11% from $557M to $445M, and total revenue declined 0.88% from $3.19B to $3.16B.