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Complete Analysis of Arcor Stocks

10 April 2025
3 min to read
Arcor Stocks: Advanced Strategies for Smart Investors

Discover how to invest in Arcor stocks with this detailed analysis. With a market capitalization exceeding $2 billion and presence in 120 countries, Arcor represents a solid investment opportunity in the Latin American market, combining stability with international growth potential.

The Current Landscape of Arcor Stocks in the Stock Market

Arcor stocks have registered a growth of 15% in 2023-2024, surpassing the 8% average of the regional food sector. As the main producer of confectionery in Latin America and with exports to more than 120 countries, Arcor represents an investment with solid fundamentals. Pocket Option offers specialized tools to analyze these securities in real time, facilitating decisions based on concrete data.

Arcor Argentina stocks have demonstrated resilience against volatile economic cycles, maintaining an average dividend of 3.5% annually over the past five years. This stability has made buying Arcor stocks a frequent strategy among investors seeking exposure to the consumer sector with lower volatility.

Period Arcor Stocks Performance Influential Factors
2022-2023 +12% Expansion in Brazil and Mexico
2023-2024 +15% Improvement in operating margins (8.5% → 10.2%)
2024-Present +8% (YTD) New healthy product lines

Fundamental Analysis: Key Indicators of Arcor Stocks

Professional investors evaluate Arcor stocks through indicators that reveal their financial health and growth potential. With an ROE of 12.8% and a P/E ratio of 15.3, Arcor shows a balanced valuation compared to the regional food sector. Pocket Option provides immediate access to these indicators updated quarterly.

Indicator Current Value Sector Comparison
P/E (Price/Earnings) 15.3 -5% vs. sector average (16.1)
ROE (Return on Equity) 12.8% +2.3% vs. sector average (10.5%)
Operating Margin 10.2% +1.7% vs. previous year (8.5%)
Debt Ratio 0.42 -0.18 vs. sector average (0.60)

Effective Technical Strategies for Arcor Stocks

Technical analysis reveals recurring patterns in Arcor Argentina stocks that can be leveraged through specific strategies. Historical data shows that after corrections of 7-10%, these stocks tend to form firm supports coinciding with the 50-day moving average, offering strategic entry points.

  • Breakout Strategy: Buy when the price exceeds resistance with volume 30% higher than average
  • Bounce Strategy: Accumulate at supports coinciding with the 50-period moving average
  • Divergence Strategy: Enter when RSI shows positive divergence in oversold zones

Pocket Option facilitates implementing these strategies with its platform that combines advanced technical indicators with fast execution, allowing you to take advantage of specific movements in buying Arcor stocks.

Key Macroeconomic Factors for Arcor Stocks

The analysis of Arcor Argentina stocks must consider macroeconomic factors with the greatest documented historical impact. When regional inflation increases above 5% quarterly, Arcor has demonstrated the ability to adjust prices while maintaining sales volumes, protecting its operating margins.

Factor Impact on Arcor Stocks Recommended Strategy
Currency Depreciation (>5%) +3.2% average (30 days) Increase positions after stabilization
Rate Increase (>100bp) -4.8% average (7 days) Wait for complete correction before entering
Regional GDP Expansion (>1%) +6.5% average (quarterly) Progressive accumulation anticipating results

Integration of Arcor Stocks in Diversified Portfolios

The strategic incorporation of Arcor stocks in diversified portfolios should follow specific proportions according to the investor profile. Historical data shows negative correlation (-0.3) with technology sectors, creating effective diversification opportunities. Pocket Option offers tools to analyze these correlations and optimize portfolio construction.

Investor Profile Recommended Proportion Suggested Complements
Conservative 5-10% 60% fixed income, 20% utilities, 15% other defensives
Moderate 10-15% 40% fixed income, 25% technology, 25% other cyclical sectors
Aggressive 15-20% 20% fixed income, 40% technology, 25% other high-growth sectors
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Conclusion: Prospects for Arcor Stocks

Arcor stocks present an attractive investment profile with solid fundamentals: sustained growth of 12-15% annually, geographic diversification in more than 120 countries, and expanding operating margins (8.5% to 10.2%). Using Pocket Option’s analytical tools, investors can identify optimal entry points based on both fundamental and technical analysis, strategically positioning themselves in a company with proven growth potential and resilience to regional economic cycles.

FAQ

What is the historical performance of Arcor stocks over the last 5 years?

Arcor stocks have generated a cumulative return of 65% over the last 5 years, with a compound annual growth of 10.5%. This performance has outperformed the Merval index in three of the five years analyzed, demonstrating solidity in periods of macroeconomic volatility.

What factors most significantly influence the price of Arcor Argentina stocks?

Quarterly results (especially operating margins), international expansion (particularly in Brazil and Mexico), and variations in raw material costs (sugar and cocoa) are determinants. The exchange rate also directly impacts, with a positive correlation of 0.7 in periods of controlled depreciation.

How can I buy Arcor stocks through Pocket Option?

You can acquire Arcor stocks by creating an account on Pocket Option, completing KYC verification, and depositing funds by card or transfer. The platform offers direct access to the Argentine market without additional fees for currency conversion, with immediate execution during stock market hours.

What is Arcor's dividend policy for its shareholders?

Arcor distributes between 20-30% of its net profits as dividends, with an average yield of 3.5% annually over the last five years. Payments are made semi-annually (April and October), with a history of consecutive increases during the last three fiscal years.

What advantages does investing in Arcor stocks offer compared to other companies in the food sector?

The main advantage is its vertical integration that ranges from raw material production to final distribution, controlling costs at each stage. Its presence in 120 countries diversifies geographic risks, while its continuous innovation (15% of income comes from products launched in the last 36 months) ensures adaptation to new consumer trends.

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