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Market cap $684.36M
Enterprise value $908.38M
Revenue £45.668M
EBITDA £22.569M
Income £53.936M
Revenue Q/Q 2.57%
Revenue Y/Y -2.36%
P/E 19.95
Forward P/E N/A
EV/Sales 16.20
EV/EBITDA 32.78
EV/EBIT 28.39
PEG N/A
Price/Sales 11.80
P/FCF 39.91
Price/Book 1.31
Book/Share 140.18
Cash/Share 0.19
FCF yield N/A
Employees 28
RPE £1.631M
Volume 48.219k / 428.396k
Relative vol. 0.11 ×
EPS 9.20
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 116.15%
Oper. margin 48.82%
Gross margin 75.97%
EBIT margin 48.82%
EBITDA margin 49.42%
Ret. on assets 2.20%
Ret. on equity 13.19%
ROIC 3.40%
ROCE 3.70%
Volatility 1.75%
Beta 0.31
RSI 43.17
Range GBX181.00 – GBX183.50
52 weeks GBX181.75 – GBX181.75
SMA 50 GBX185 -1.51%
SMA 200 GBX184 -0.96%
1 year target GBX6,000 +3,201.24%
Mean Recomm. N/A
Shares outst. 285.908M
Shares float 225.725M 78.95%
Short % of float N/A
Short ratio N/A
Market cap $516.76M
Enterprise value $518.10M
Revenue $103.074M
EBITDA $51.048M
Income $18.287M
Revenue Q/Q 8.57%
Revenue Y/Y 3.65%
P/E 21.21
Forward P/E 17.77
EV/Sales 5.03
EV/EBITDA 10.15
EV/EBIT 15.20
PEG 6.06
Price/Sales 5.01
P/FCF N/A
Price/Book 2.24
Book/Share 16.84
Cash/Share 0.18
FCF yield -2.23%
Employees 0
RPE $888.569k
Volume 34.859k / N/A
Relative vol. N/A
EPS 1.78
EPS Q/Q 20.37%
Est. EPS Q/Q -15.63%
Profit margin 16.89%
Oper. margin 30.23%
Gross margin 42.61%
EBIT margin 33.08%
EBITDA margin 49.53%
Ret. on assets 2.37%
Ret. on equity 7.90%
ROIC 4.33%
ROCE 4.48%
Volatility 2.31%
Beta 0.56
RSI 58.40
Range $37.67 – $38.35
52 weeks $33.34 – $47.44
SMA 50 $38 +0.59%
SMA 200 $37 +3.19%
1 year target $55 +45.66%
Mean Recomm. 1.00
Shares outst. 9.414M
Shares float 0.000 0.00%
Short % of float 0.93%
Short ratio 1.80
Market cap $145.14M
Enterprise value $290.85M
Revenue $2.686M
EBITDA -$21.85
Income -$29.41
Revenue Q/Q -36.59%
Revenue Y/Y 27.12%
P/E N/A
Forward P/E -12.82
EV/Sales 108.28
EV/EBITDA N/A
EV/EBIT N/A
PEG N/A
Price/Sales 54.04
P/FCF N/A
Price/Book 3.63
Book/Share 0.82
Cash/Share 0.09
FCF yield -16.56%
Employees 6
RPE N/A
Volume 117.946k / 233.050k
Relative vol. 0.51 ×
EPS N/A
EPS Q/Q -21.05%
Est. EPS Q/Q -26.32%
Profit margin -1,579.41%
Oper. margin -858.56%
Gross margin -45.00%
EBIT margin -872.64%
EBITDA margin -813.40%
Ret. on assets -25.28%
Ret. on equity -77.50%
ROIC -24.29%
ROCE -21.50%
Volatility 6.54%
Beta 2.01
RSI 41.76
Range $2.98 – $3.05
52 weeks $2.13 – $4.11
SMA 50 $3 -11.27%
SMA 200 $3 +2.25%
1 year target $18 +485.28%
Mean Recomm. N/A
Shares outst. 67.896M
Shares float 0.000 0.00%
Short % of float 1.49%
Short ratio 3.21
Market cap $238.25M
Enterprise value $254.64M
Revenue $175.274M
EBITDA $12.256M
Income $40.773M
Revenue Q/Q -26.58%
Revenue Y/Y 34.22%
P/E 9.62
Forward P/E 19.03
EV/Sales 1.45
EV/EBITDA 20.78
EV/EBIT 5.42
PEG 2.04
Price/Sales 1.36
P/FCF 9.08
Price/Book 1.28
Book/Share 19.54
Cash/Share 4.46
FCF yield 11.01%
Employees 0
RPE $2.038M
Volume 79.468k / 125.400k
Relative vol. 0.63 ×
EPS 2.59
EPS Q/Q -236.36%
Est. EPS Q/Q 750.00%
Ret. on assets 18.36%
Ret. on equity 21.36%
ROIC 18.32%
ROCE 21.78%
Volatility 4.19%
Beta 0.90
RSI 36.18
Range $24.77 – $25.44
52 weeks $23.75 – $38.29
SMA 50 $28 -10.68%
SMA 200 $27 -8.90%
1 year target $16 -37.80%
Mean Recomm. N/A
Shares outst. 15.834M
Shares float 0.000 0.00%
Short % of float 0.49%
Short ratio 0.42
1 year target $16 -37.80%
Mean Recomm. N/A
Dividend $0.38
Dividend yield 1.37%
Payout ratio 14.67%
Payment date 31 Oct 2024
Ex-dividend date 1 Oct 2024
Earnings date 7 Nov 2024
IPO year 1995
Country Cayman Islands
Market cap $312.79M
Enterprise value $399.54M
Revenue $52.020M
EBITDA $21.570M
Income $6.198M
Revenue Q/Q 3.92%
Revenue Y/Y 5.90%
P/E 49.42
Forward P/E 43.96
EV/Sales 7.68
EV/EBITDA 18.52
EV/EBIT 28.89
PEG 3.70
Price/Sales 6.01
P/FCF 57.05
Price/Book 6.43
Book/Share 2.00
Cash/Share 0.20
FCF yield 1.75%
Employees 0
RPE $753.913k
Volume 13.143k / 18.855k
Relative vol. 0.70 ×
EPS 0.26
EPS Q/Q 0.00%
Est. EPS Q/Q 25.00%
Profit margin 15.05%
Oper. margin 18.38%
Gross margin 76.11%
EBIT margin 26.58%
EBITDA margin 41.46%
Ret. on assets 1.67%
Ret. on equity 12.85%
ROIC 4.60%
ROCE 3.74%
Volatility 2.81%
Beta 0.71
RSI 57.31
Range $12.73 – $12.88
52 weeks $9.34 – $13.42
SMA 50 $12 +3.49%
SMA 200 $12 +2.94%
1 year target $13 -2.72%
Mean Recomm. N/A
Shares outst. 24.217M
Shares float 0.000 0.00%
Short % of float 0.99%
Short ratio 3.78
1 year target $13 -2.72%
Mean Recomm. N/A
Dividend $0.30
Dividend yield 2.48%
Payout ratio 115.47%
Payment date 30 Sep 2024
Ex-dividend date 16 Sep 2024
Earnings date 6 Nov 2024
IPO year 2016
Country United States
Revenue $174.987M
EBITDA $70.969M
Income $36.863M
Revenue Q/Q 14.82%
Revenue Y/Y 4.46%
P/E 29.85
Forward P/E 22.77
EV/Sales 8.70
EV/EBITDA 21.45
EV/EBIT 26.75
PEG 10.10
Price/Sales 8.81
P/FCF N/A
Price/Book 3.64
Book/Share 16.96
Cash/Share 0.10
FCF yield -1.75%
Employees 0
RPE $1.306M
Volume 46.346k / N/A
Relative vol. N/A
EPS 2.07
EPS Q/Q -19.35%
Est. EPS Q/Q 35.38%
Profit margin 18.96%
Oper. margin 26.43%
Gross margin 38.74%
EBIT margin 32.51%
EBITDA margin 40.56%
Ret. on assets 2.96%
Ret. on equity 8.69%
ROIC 3.96%
ROCE 4.99%
Volatility 2.65%
Beta 0.60
RSI 51.31
Range $61.59 – $63.80
52 weeks $45.45 – $74.86
SMA 50 $63 -1.39%
SMA 200 $55 +11.34%
1 year target $72 +17.06%
Mean Recomm. 1.33
Shares outst. 17.830M
Shares float 0.000 0.00%
Short % of float 3.91%
Short ratio 5.16
Revenue $19.564M
EBITDA N/A
Income $6.064M
Revenue Q/Q 10.54%
Revenue Y/Y -11.43%
P/E 38.54
Forward P/E N/A
EV/Sales 9.61
EV/EBITDA N/A
EV/EBIT 24.47
PEG N/A
Price/Sales 12.87
P/FCF N/A
Price/Book 2.13
Book/Share 4.70
Cash/Share 1.13
FCF yield -2.99%
Employees 177,950
RPE $109.94
Volume 18.680k / N/A
Relative vol. N/A
EPS 0.26
EPS Q/Q N/A
Est. EPS Q/Q N/A
Profit margin 32.22%
Oper. margin 23.00%
Gross margin 55.12%
EBIT margin 43.09%
EBITDA margin 18.03%
Ret. on assets 4.44%
Ret. on equity 5.03%
ROIC 4.90%
ROCE 6.42%
Volatility 2.78%
Beta 0.92
RSI 46.10
Range $9.89 – $10.14
52 weeks $8.95 – $11.18
SMA 50 $10 -2.81%
SMA 200 $10 +2.89%
1 year target $7 -34.63%
Mean Recomm. N/A
Shares outst. 24.075M
Shares float 0.000 0.00%
Short % of float 1.19%
Short ratio 2.37
Market cap $605.56M
Enterprise value $749.81M
Revenue $73.241M
EBITDA $41.137M
Income $22.900M
Revenue Q/Q -0.09%
Revenue Y/Y 12.52%
P/E 23.79
Forward P/E 24.47
EV/Sales 10.24
EV/EBITDA 18.23
EV/EBIT 23.28
PEG 7.23
Price/Sales 8.27
P/FCF N/A
Price/Book 2.74
Book/Share 13.90
Cash/Share 0.00
FCF yield -4.34%
Employees 0
RPE $1.061M
Volume 27.008k / N/A
Relative vol. N/A
EPS 1.60
EPS Q/Q 2.86%
Est. EPS Q/Q 5.56%
Profit margin 33.45%
Oper. margin 39.42%
Gross margin 73.45%
EBIT margin 43.97%
EBITDA margin 56.17%
Ret. on assets 3.88%
Ret. on equity 10.32%
ROIC 5.84%
ROCE 5.47%
Volatility 1.91%
Beta 0.60
RSI 43.33
Range $38.02 – $38.36
52 weeks $33.32 – $41.96
SMA 50 $39 -3.41%
SMA 200 $37 +2.72%
1 year target $53 +39.22%
Mean Recomm. 2.00
Shares outst. 14.362M
Shares float 0.000 0.00%
Short % of float 2.31%
Short ratio 4.23
1 year target $53 +39.22%
Mean Recomm. 2.00
Dividend $0.84
Dividend yield 2.14%
Payout ratio 52.19%
Payment date 15 Oct 2024
Ex-dividend date 30 Sep 2024
Earnings date 8 Nov 2024
IPO year 2000
Country United States
Revenue $567.455M
EBITDA $219.686M
Income $106.992M
Revenue Q/Q -1.32%
Revenue Y/Y -2.02%
P/E 28.37
Forward P/E 29.97
EV/Sales 7.03
EV/EBITDA 18.17
EV/EBIT 20.90
PEG 6.48
Price/Sales 6.30
P/FCF N/A
Price/Book 4.61
Book/Share 17.66
Cash/Share 0.32
FCF yield -2.48%
Employees 728
RPE $779.471k
Volume 282.024k / 203.400k
Relative vol. 1.39 ×
EPS 2.87
EPS Q/Q -11.11%
Est. EPS Q/Q -6.58%
Profit margin 20.97%
Oper. margin 31.25%
Gross margin 64.67%
EBIT margin 33.65%
EBITDA margin 38.71%
Ret. on assets 4.71%
Ret. on equity 13.45%
ROIC 9.78%
ROCE 9.32%
Volatility 1.75%
Beta 0.44
RSI 53.98
Range $80.89 – $83.55
52 weeks $66.03 – $85.72
SMA 50 $82 -0.13%
SMA 200 $75 +8.35%
1 year target $82 +1.03%
Mean Recomm. 2.00
Shares outst. 37.457M
Shares float 0.000 0.00%
Short % of float 3.68%
Short ratio 3.22
Market cap $28.79B
Enterprise value $40.51B
Revenue $4.359B
EBITDA $2.291B
Income $956.000M
Revenue Q/Q 4.74%
Revenue Y/Y 7.68%
P/E 30.01
Forward P/E 27.39
EV/Sales 9.29
EV/EBITDA 17.68
EV/EBIT 19.90
PEG 4.41
Price/Sales 6.61
P/FCF N/A
Price/Book 2.94
Book/Share 50.03
Cash/Share 1.86
FCF yield -3.36%
Employees 3,074
RPE $1.418M
Volume 1.044M / N/A
Relative vol. N/A
EPS 4.90
EPS Q/Q 6.54%
Est. EPS Q/Q 28.81%
Profit margin 22.30%
Oper. margin 42.90%
Gross margin 59.38%
EBIT margin 46.71%
EBITDA margin 52.56%
Ret. on assets 3.12%
Ret. on equity 9.60%
ROIC 6.76%
ROCE 6.93%
Volatility 1.73%
Beta 0.59
RSI 67.54
Range $144.75 – $147.64
52 weeks $113.34 – $149.00
SMA 50 $142 +3.39%
SMA 200 $129 +12.10%
1 year target $158 +7.75%
Mean Recomm. 2.57
Shares outst. 194.863M
Shares float 0.000 0.00%
Short % of float 1.96%
Short ratio 3.54