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VC2.SI Olam Group (SES) up 5.82% to S$1.00 before 27 Feb earnings: watch debt

SG Stocks
5 mins read

VC2.SI stock closed the Singapore market on 24 Feb 2026 at S$1.00, up 5.82% as traders positioned ahead of Olam Group Limited’s upcoming results on 27 Feb 2026. Volume was elevated at 11045800.00 shares versus an average of 2436180.00, signalling heavier interest ahead of the earnings print. The move reflects expectations around margins and cash flow, and sets a clear near-term test of the 50-day average at S$0.94 and the 200-day at S$0.97

Earnings context for VC2.SI stock

Olam Group Limited (VC2.SI) reports earnings on 27 Feb 2026, and the stock closed the SES session on 24 Feb 2026 at S$1.00 as investors priced guidance and commodity exposures ahead of the release.

Price action and technical snapshot for VC2.SI stock

Today VC2.SI traded between S$0.96 and S$1.01 with volume 11045800.00, well above the average of 2436180.00, showing above-normal participation. The technical set shows an RSI of 61.68, ADX 35.28 indicating a strong trend, and MFI 80.63 suggesting near-term overbought conditions to watch into earnings.

Valuation and earnings metrics for VC2.SI stock

Olam Group reports EPS of S$0.08 and a market PE near 12.06 on the latest quote, with market capitalisation of S$3641008000.00. Price-to-book sits around 1.07 and EV/EBITDA is about 4.10, which reflects a cyclical food-distribution valuation relative to peers in the Consumer Defensive sector.

Balance sheet, cash flow and risk signals

Leverage is the key risk: debt-to-equity is 2.34 and net debt to EBITDA is 3.28, while interest coverage is 2.59, signalling sensitivity to margin pressure and higher rates. Operating cash flow and free cash flow per share are negative (OCF per share -0.11, FCF per share -0.20), highlighting funding needs that investors will scrutinise at the results.

Dividend, sector context and peer comparison

Olam offers a trailing dividend per share of S$0.05 and a dividend yield of 5.18%, with a payout ratio near 71.80%, making income a component of investor interest. Against the Consumer Defensive group, Olam’s PE of 12.06 sits close to the sector average PE 11.56, while higher leverage distinguishes VC2.SI from lower-debt food peers.

Meyka AI grade, price targets and forecast for VC2.SI stock

Meyka AI rates VC2.SI with a score out of 100: 64.82 (Grade B, HOLD). This grade factors S&P benchmark comparison, sector performance, growth, key metrics and analyst signals. Meyka AI’s forecast model projects a 12‑month level of S$0.89, implying -10.54% from the current S$1.00; conservative/ base/ bull price targets: S$0.80 / S$1.10 / S$1.30 respectively. Forecasts are model-based projections and not guarantees.

Final Thoughts

Key takeaways for VC2.SI stock ahead of the 27 Feb 2026 earnings are straightforward: the market has priced a near-term run to S$1.00 with elevated volume and positioning, and the results will be read for margin trends, working-capital dynamics, and cash flow. Valuation shows a PE around 12.06 and an EV/EBITDA near 4.10, which supports a neutral view if operating cash flow recovers. The larger risk remains leverage — debt-to-equity 2.34 and interest coverage 2.59 could amplify any earnings weakness. For risk-sensitive investors, the S$0.80 conservative target offers downside protection while a successful earnings guide could lift the stock toward a S$1.10 base case. Meyka AI’s forecast model projects a 12‑month level of S$0.89, implying about -10.54% from today’s close; forecasts are model-based projections and not guarantees. Use the print to update assumptions on commodity margins, working capital, and dividend sustainability — these will drive the next leg of performance in the Singapore market (SES). Meyka AI is listed as the AI-powered market analysis platform referenced for the grade and forecast.

FAQs

When does Olam (VC2.SI) report earnings and why does it matter?

Olam Group reports on 27 Feb 2026; the print matters because investors will get margin details, working-capital changes and cash flow guidance which can move VC2.SI stock and influence dividend outlook.

What are the main financial risks for VC2.SI stock?

The main risks are high leverage and weak cash flow: debt-to-equity is 2.34, net debt to EBITDA 3.28, and operating cash flow per share is -0.11, which increase vulnerability to margin shocks.

Is VC2.SI stock paying a meaningful dividend now?

Yes, Olam pays S$0.05 per share, giving a trailing yield near 5.18%, but the payout ratio is about 71.80%, so dividend sustainability depends on earnings and cash flow recovery.

What is Meyka AI’s price outlook for VC2.SI stock?

Meyka AI’s forecast model projects S$0.89 over 12 months, implying roughly -10.54% from the current S$1.00; forecasts are model-based and not guarantees, and earnings outcomes can change the outlook.

Disclaimer:

Stock markets involve risks. This content is for informational purposes only. Past performance does not guarantee future results. Meyka AI PTY LTD provides market analysis and data insights, not financial advice. Always conduct your own research and consider consulting a licensed financial advisor.

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