Industry | Sector | Country | Exchange |
Dow | S&P 500 | NASDAQ 100 | Russell 2K |
your portfolio performance (Comp) | Key Metrics (Comp) | (Comp) |
Industry: Conglomerates |
REX | Industry | |
EVS | 3.1 | |
Avg Volume | 150.05 | |
1 Week Perf | -2.29% | |
3 Month Perf | +15.06% | |
1 Year Perf | -17.93% | |
%off 50D High | -8.78% | |
%off 52W High | -22.30% | |
P/E | 7.06 | |
Forward P/E | 8.67 | |
PEG | 2.35 | |
P/S | 0.82 | |
P/B | 1.34 | |
P/Cash | 2.86 | |
P/FCF | 6.01 | |
EPS (TTM) | 8.12 | |
EPS Gr(NextY) | +28.47% | |
EPS Gr(Past5Y) | +75.60% | |
EPS Gr(Next5Y) | +3.00% | |
Rev Gr(Past5Y) | +27.50% | |
Debt/Equity | 0 | |
Gross Margin | 19.40% | |
Oper Margin | 30.80% | |
Prof Margin | 22.20% | |
Market Cap | 395.3 |