Below average — notable weaknesses in key areas
Returns capital via buybacks — no dividend
Monthly model snapshots showing quantitative assessments. High Conviction = model detected notable undervaluation vs peers. Return columns show actual price changes following each observation date for reference purposes only.
| Date | Assessment | Score | Price | 30d | 90d |
|---|---|---|---|---|---|
| May 1, 26Latest | Moderate | 0.60 | $1.93 | — | — |
| Apr 24, 26 | Moderate | 0.60 | $1.80 | — | — |
| Apr 17, 26 | Moderate | 0.60 | $1.77 | — | — |
| Apr 16, 26 | Moderate | 0.60 | $1.77 | — | — |
| Apr 10, 26 | Moderate | 0.62 | $1.71 | — | — |
| Quarter | EPS Est. | EPS Act. | Surprise | EPS | Rev |
|---|---|---|---|---|---|
| Q4'25Latest | — | $-0.09 | — | ||
| Q3'25 | — | $-0.01 | — | ||
| Q2'25 | — | $-0.04 | — | ||
| Q1'25 | — | $-0.01 | — | ||
| Q4'24 | — | $-0.05 | — | ||
| Q3'24 | — | $-0.20 | — | ||
| Q2'24 | — | $-0.15 | — | ||
| Q1'24 | — | $-0.01 | — |
Total return, benchmark alpha, and annual history in one section.
3Y, 5Y, and 10Y use CAGR when available.
| Period | Return | vs S&P | Dividends |
|---|---|---|---|
| YTD | +21.8% | +14.4% | — |
| 1Y | +18.0% | -13.3% | — |
| 3YCAGR | -10.5% | -29.9% | — |
| 5YCAGR | -21.8% | -34.5% | — |
| 10YCAGR | -30.5% | -44.3% | — |
Year-by-year total return versus SPY, including dividend contribution.
| Year | Stock Return | SPY Return | Alpha | Dividends |
|---|---|---|---|---|
| 2026YTD | +20.5% | +0.4% | +20.1% | — |
| 2025 | -38.6% | +16.6% | -55.3% | — |
| 2024 | +6.0% | +24.0% | -18.0% | — |
| 2023 | +3.4% | +24.8% | -21.4% | — |
| 2022 | -43.3% | -19.9% | -23.4% | — |
| 2021 | -55.5% | +28.8% | -84.2% | — |
| 2020Best | +256.9% | +15.1% | +241.8% | — |
| 2019Worst | -79.4% | +28.7% | -108.1% | — |
Based on our multi-model analysis of Nano Dimension Ltd. (NNDM) at $1.90: Relative valuation verdict: Significantly Undervalued vs industry peers. Fundamental quality score: 40/100 (below average). This is a quantitative summary combining DCF intrinsic value, peer-based relative valuation, quality scoring, and analyst consensus — not a buy/sell recommendation. Always consult a qualified financial advisor before investing.
Nano Dimension Ltd. has multiple fair value estimates from different frameworks: Relative fair value: $4.36 (Significantly Undervalued, +125.9% vs current price). We recommend comparing all three lenses — when DCF, relative, and analyst targets converge, the signal is stronger. When they diverge, investigate what assumptions differ.
Nano Dimension Ltd.'s financial health as measured by our composite scoring: Overall quality score: 40/100. Piotroski F-Score: 4/9 (moderate). Altman Z-Score: 5.3 (safe zone — low bankruptcy risk). Return on invested capital: -10.2%. Cash conversion (OCF/NI): 0.59x (earnings exceed cash generation). The quality score blends profitability (ROIC, ROE, margins), solvency (leverage, coverage, Z-Score), and growth trajectory into a single 0–100 framework updated end-of-day.
Nano Dimension Ltd.'s performance profile: 1-year total return: +18.0%. 1-year alpha vs S&P 500: -13.3% (underperforming the benchmark). 5-year CAGR: -21.8%. Maximum drawdown (1Y): -29.1%. Relative Strength rating: 73/99 (average momentum). Beta: 1.74 (more volatile than the market). Total returns include reinvested dividends. Alpha is calculated against the S&P 500 Total Return Index over matching periods.
Nano Dimension Ltd. does not currently pay a dividend. The company returns capital to shareholders via share buybacks, with a buyback yield of 17.5% and a 1-year share count change of -12.0%. Total shareholder yield (including buybacks): 17.5%.
Wall Street's outlook on Nano Dimension Ltd.: Earnings beat rate: 17%. Forward P/E: 190.0x. Analyst estimates are blended into our proprietary model with weight based on coverage depth and historical accuracy. We track estimate revisions, beat rates, and grade changes daily.
Key risks identified for Nano Dimension Ltd.: Drawdown risk: The stock experienced a -29.1% max drawdown in the past year. Volatility risk: Beta of 1.74 indicates significantly higher volatility than the broad market. Note: This model does not capture regulatory changes, management decisions, competitive disruption, or geopolitical events. Macro and qualitative risks remain material and should be assessed independently.
No. This overview dashboard aggregates data from our DCF intrinsic value model, relative peer multiples model, proprietary estimates engine, and third-party analyst consensus feeds. It is strictly for educational and informational purposes. The operator of this platform is not a registered investment advisor (RIA), broker-dealer, or financial planner. All model outputs, fair value estimates, quality scores, and signals are automated quantitative computations and should not be construed as investment recommendations. Consult a qualified, licensed financial advisor before making any investment decisions. Past model performance does not guarantee future results.