
Doman Building Materials Group Ltd's stock has seen a slight dip this week amid significant financial announcements.
Doman Building Materials Group Ltd (DBM.TO) experienced a minor decline of 0.90% on Friday, closing at C$10.96. Over the past week, the stock has remained relatively stable, with a slight decrease of 0.09%. Year-to-date, however, it has gained 15.98%, showcasing its resilience in the industrial sector.
Investor takeaway: Investors may want to consider the recent financial results and strategic moves by Doman as they assess the stock's potential for growth amid market fluctuations.
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Doman Building Materials Group Ltd
DBM.TO
DBM.TO
Doman Building Materials Group Ltd
Market cap
$972.11M
P/E
11.5x
Div. yield
5.08%
Div. / share
$0.56
52W high
$11.84
52W low
$8.02
1W change
-0.09%
Beta
1.41
Analyst Price Targets
Based on analyst covering DBM · as of Sep 17, 2026
Wall Street analysts forecast DBM stock price to rise 18.0% over the next 12 months.
Consensus
BullishBased on avg. target vs last close (formal rating unavailable for Canadian listings)
Avg. Target
C$12.93
+18.0% Upside
Current Price
C$10.96
Last close
Targets are snapshotted when they change. Unchanged figures keep their original date. Not financial advice.
Wealth Awesome Price Forecast
WA ModelStatistical 90-day price range based on DBM's historical volatility
30-Day Vol
17.8%
Annualized
90-Day Vol
25.8%
Annualized
Trend (90d)
-15.4%
Annualized drift
90d Mean
C$10.37
Expected price
| Horizon | Expected | 68% Range (1σ) |
|---|---|---|
| 30 trading days | C$10.76 | C$10.12 – C$11.44 |
| 60 trading days | C$10.56 | C$9.68 – C$11.53 |
| 90 trading days | C$10.37 | C$9.32 – C$11.54 |
Methodology: Range is calculated using 30-day realized volatility via geometric Brownian motion (log-normal model). 68% band = ±1σ, 95% band = ±2σ. This is a statistical model, not a prediction. Past volatility does not guarantee future results. Not financial advice.
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C$3.1 Billion Revenue Reported for 2025
Doman's revenue for 2025 represents a significant increase, reflecting strong operational performance that could attract investor interest.
Bull case
Doman reported strong revenue growth of 17.1% for 2025, positioning the company well for continued growth. Analysts suggest an average target that indicates an 18% upside, which could be appealing for investors looking for opportunities in the market.
Bear case
Despite the positive outlook, the stock's recent performance and a beta of 1.41 indicate higher volatility compared to the market. This may pose risks for investors who prioritize stability in their portfolios.
Recent Price Action
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Doman Building Materials Group Ltd's stock closed at C$10.96 on Friday, down 0.90% for the day. Over the past week, the stock has seen a slight decrease of 0.09%. In the last month, it has risen by 4.68%, and year-to-date, it has shown a robust gain of 15.98%. This performance reflects the company's ability to navigate the challenges within the industrial sector.
Company News and Financial Results
Recent headlines highlight Doman's financial performance, with the company reporting a significant revenue increase of 17.1% for 2025, totaling C$3.1 billion. Additionally, their first-quarter 2026 results showed revenues of C$762 million and net earnings of C$23.9 million. The company also announced a successful offering of C$170 million in senior unsecured notes due in 2029 and completed the early redemption of its outstanding 5.25% notes due 2026. These financial maneuvers indicate a strategic approach to capital management.
Technical Picture
Doman's stock is currently trading slightly below its 50-day moving average of C$11.11, reflecting a 1.4% decline from its current price. The 200-day moving average stands at C$10.44, indicating a 4.9% increase compared to the current price. The stock has a beta of 1.41, suggesting it is more volatile than the broader market. With a 52-week range of C$8.02 to C$11.84, it is currently trading at 77% of its range. The latest trading volume of 61,324 shares is below the 20-day average volume of 91,222 shares, reflecting reduced trading activity.
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