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Coty Stock – is a Buy, Sell or Hold?

The P/E ratio measures how cheaply valued a company’s stock price is by dividing the current stock price to its earnings-per-share (EPS). It indicates the dollar amount an investor can expect to invest in a company to receive $1 of that company’s earnings. Coty P/E ratio is 18.34. it has increased by a third in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed. Let’s dive into Coty’s P/E ratio

What is Coty P/E Ratio?

Coty’s P/E ratio is 18.34, which represents a 290.84% increase over the same period last year. their 1-year average P / E ratio is 11.78 and their 5-year average is -22.2.

What is Coty Net EPS?

Coty’s net earnings for the most recent quarter were 0.43 US dollars, which represents a 222.86% increase over the same period last year.

Who are Coty Competitors?

Based on Jika.io AI model, The Clorox, Inter Parfums, IT Tech Packaging, Kaya, Natura &Co Holding S.A., Nu Skin Enterprises, Newell Brands, Spectrum Brands Holdings are considered to be Coty’s competitors because the companies operate within the same industry as Coty and they are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Coty.

Who is Coty’s Biggest competitor?

Coty’s biggest competitor is Clorox, based on the AI model of Jika.io. it has a similar market capitalization to Coty in the industry, it dominates a similar share of the market as Coty, and it provides and markets very similar services.

What industry is Coty in?

Coty is part of the Household & Personal Products industry and the Consumer Defensive sector.

Coty vs The Clorox

Market Cap: Coty’s Market Cap of 6545689600 is lower than The Clorox Market Cap of 18050912256.
Average Volume: Coty’s Average Volume of 9.469M is higher than The Clorox Average Volume of 1.439M.
Beta: Coty’s Beta of 2.37 is higher than The Clorox Beta of 0.17.
Revenue: Coty’s Revenue of 4.63B is lower than The Clorox Revenue of 7.341B.
Net Income: Coty’s Net Income of -201.3M is lower than The Clorox Net Income of 710.0M.
Gross Profit: Coty’s Gross Profit of 2.768B is lower than The Clorox Gross Profit of 3.199B.
Ebitda: Coty’s Ebitda of 443.8M is higher than The Clorox Ebitda of 1.201B.
P/E Ratio: Coty’s P/E Ratio of 60.0 is higher than The Clorox P/E Ratio of 39.53.
P/S Ratio: Coty’s P/S Ratio of 1.26 is lower than The Clorox P/S Ratio of 2.54.
P/B Ratio: Coty’s P/B Ratio of 1.82 is lower than The Clorox P/B Ratio of 45.16.
P/FCF Ratio: Coty’s P/FCF Ratio of 7.53 is higher than The Clorox P/FCF Ratio of 32.09.
ROE: Coty’s ROE of 0.1 is lower than The Clorox ROE of 1.23.
ROA: Coty’s ROA of 0.03 is lower than The Clorox ROA of 0.07.
Return On Capital Employed: Coty’s Return On Capital Employed of 0.03 is lower than The Clorox Return On Capital Employed of 0.18.
Gross Profit Margin: Coty’s Gross Profit Margin of 0.63 is higher than The Clorox Gross Profit Margin of 0.36.
Assets (Total): Coty’s Assets (Total) of 13.691B is lower than The Clorox Assets (Total) of 6.334B.
Debt (Total): Coty’s Debt (Total) of 5.77B is higher than The Clorox Debt (Total) of 3.166B.
Shareholders Equity: Coty’s Shareholders Equity of 3.897B is lower than The Clorox Shareholders Equity of 411.0M.

Coty vs Inter Parfums

Market Cap: Coty’s Market Cap of 6545689600 is higher than Inter Parfums Market Cap of 2322448640.
Average Volume: Coty’s Average Volume of 9.469M is higher than Inter Parfums Average Volume of 111790.0.
Beta: Coty’s Beta of 2.37 is higher than Inter Parfums Beta of 1.04.
Revenue: Coty’s Revenue of 4.63B is lower than Inter Parfums Revenue of 879.516M.
Net Income: Coty’s Net Income of -201.3M is lower than Inter Parfums Net Income of 110.027M.
Gross Profit: Coty’s Gross Profit of 2.768B is lower than Inter Parfums Gross Profit of 556.902M.
Ebitda: Coty’s Ebitda of 443.8M is higher than Inter Parfums Ebitda of 166.542M.
P/E Ratio: Coty’s P/E Ratio of 60.0 is higher than Inter Parfums P/E Ratio of 24.47.
P/S Ratio: Coty’s P/S Ratio of 1.26 is lower than Inter Parfums P/S Ratio of 2.49.
P/B Ratio: Coty’s P/B Ratio of 1.82 is lower than Inter Parfums P/B Ratio of 3.97.
P/FCF Ratio: Coty’s P/FCF Ratio of 7.53 is higher than Inter Parfums P/FCF Ratio of -25.75.
ROE: Coty’s ROE of 0.1 is lower than Inter Parfums ROE of 0.19.
ROA: Coty’s ROA of 0.03 is lower than Inter Parfums ROA of 0.1.
Return On Capital Employed: Coty’s Return On Capital Employed of 0.03 is lower than Inter Parfums Return On Capital Employed of 0.18.
Gross Profit Margin: Coty’s Gross Profit Margin of 0.63 is lower than Inter Parfums Gross Profit Margin of 0.63.
Assets (Total): Coty’s Assets (Total) of 13.691B is higher than Inter Parfums Assets (Total) of 1.145B.
Debt (Total): Coty’s Debt (Total) of 5.77B is higher than Inter Parfums Debt (Total) of 144.93M.
Shareholders Equity: Coty’s Shareholders Equity of 3.897B is lower than Inter Parfums Shareholders Equity of 738.332M.

Coty vs IT Tech Packaging

Market Cap: Coty’s Market Cap of 6545689600 is higher than IT Tech Packaging Market Cap of 11876084.
Average Volume: Coty’s Average Volume of 9.469M is higher than IT Tech Packaging Average Volume of 6.944M.
Beta: Coty’s Beta of 2.37 is higher than IT Tech Packaging Beta of -0.42.
Revenue: Coty’s Revenue of 4.63B is higher than IT Tech Packaging Revenue of 160.882M.
Net Income: Coty’s Net Income of -201.3M is lower than IT Tech Packaging Net Income of 905535.0.
Gross Profit: Coty’s Gross Profit of 2.768B is higher than IT Tech Packaging Gross Profit of 11.018M.
Ebitda: Coty’s Ebitda of 443.8M is higher than IT Tech Packaging Ebitda of 20.686M.
P/E Ratio: Coty’s P/E Ratio of 60.0 is higher than IT Tech Packaging P/E Ratio of 1.09.
P/S Ratio: Coty’s P/S Ratio of 1.26 is higher than IT Tech Packaging P/S Ratio of 0.2.
P/B Ratio: Coty’s P/B Ratio of 1.82 is higher than IT Tech Packaging P/B Ratio of 0.06.
P/FCF Ratio: Coty’s P/FCF Ratio of 7.53 is higher than IT Tech Packaging P/FCF Ratio of -0.87.
ROE: Coty’s ROE of 0.1 is higher than IT Tech Packaging ROE of 0.01.
ROA: Coty’s ROA of 0.03 is higher than IT Tech Packaging ROA of 0.01.
Return On Capital Employed: Coty’s Return On Capital Employed of 0.03 is higher than IT Tech Packaging Return On Capital Employed of -0.0.
Gross Profit Margin: Coty’s Gross Profit Margin of 0.63 is higher than IT Tech Packaging Gross Profit Margin of -1.36.
Assets (Total): Coty’s Assets (Total) of 13.691B is lower than IT Tech Packaging Assets (Total) of 241.535M.
Debt (Total): Coty’s Debt (Total) of 5.77B is higher than IT Tech Packaging Debt (Total) of 210161.0.

Coty vs Kaya

Market Cap: Coty’s Market Cap of 6545689600 is higher than Kaya Market Cap of 3539718144.
Average Volume: Coty’s Average Volume of 9.469M is higher than Kaya Average Volume of 18527.0.
Beta: Coty’s Beta of 2.37 is higher than Kaya Beta of 1.19.
Revenue: Coty’s Revenue of 4.63B is higher than Kaya Revenue of 3.24B.
Net Income: Coty’s Net Income of -201.3M is lower than Kaya Net Income of -688.374M.
Gross Profit: Coty’s Gross Profit of 2.768B is higher than Kaya Gross Profit of 2.628B.
Ebitda: Coty’s Ebitda of 443.8M is lower than Kaya Ebitda of 92.89M.
P/E Ratio: Coty’s P/E Ratio of 60.0 is higher than Kaya P/E Ratio of -5.14.
P/S Ratio: Coty’s P/S Ratio of 1.26 is higher than Kaya P/S Ratio of 1.09.
P/B Ratio: Coty’s P/B Ratio of 1.82 is higher than Kaya P/B Ratio of -227.71.
P/FCF Ratio: Coty’s P/FCF Ratio of 7.53 is lower than Kaya P/FCF Ratio of 9.29.
ROE: Coty’s ROE of 0.1 is higher than Kaya ROE of -1.86.
ROA: Coty’s ROA of 0.03 is higher than Kaya ROA of -0.19.
Return On Capital Employed: Coty’s Return On Capital Employed of 0.03 is higher than Kaya Return On Capital Employed of -0.25.
Gross Profit Margin: Coty’s Gross Profit Margin of 0.63 is lower than Kaya Gross Profit Margin of 0.81.
Assets (Total): Coty’s Assets (Total) of 13.691B is lower than Kaya Assets (Total) of 3.61B.
Debt (Total): Coty’s Debt (Total) of 5.77B is higher than Kaya Debt (Total) of 2.035B.
Shareholders Equity: Coty’s Shareholders Equity of 3.897B is higher than Kaya Shareholders Equity of -15.541M.

About Coty

Coty Inc., together with its subsidiaries, is engaged in the manufacture, marketing, distribution and sale of beauty products worldwide. the company provides prestige fragrances, skin care and color cosmetics products through prestige retailers, including perfumeries, department stores, e-retailers, direct-to-consumer websites and duty-free shops under the brands of Alexander McQueen, Burberry, Bottega Veneta, Calvin Klein, Cavalli, Chloe, Davidoff, Escada, Gucci, Hugo Boss, Jil Sander, Joop!, Kylie Jenner, Lacoste, Lancaster, Marc Jacobs, Miu Miu, Nikos, philosophy, Kim Kardashian West, Tiffany & Co. it also offers mass-color cosmetics, fragrances, skin care and body care products primarily through hypermarkets, supermarkets, drug stores, pharmacies, mid-tier department stores, traditional food and drug retailers, and e-commerce retailers under the Adidas, Beckham, Biocolor, Bozzano, Bourjois, Bruno Banani, CoverGirl, Jovan, Max Factor, Mexx, Monange, Nautica, Paixao, Rimmel, Risque, Sally Hansen, Stetson, and 007 James Bond brands. Coty Inc. also sells its products through third-party distributors to approximately 150 countries and territories. the company was founded in 1904 and is based in New York, New York. Coty Inc. is a subsidiary of Cottage Holdco B.V.

 

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