Graf Akcie BBBY (Bed, Bath & Beyond Inc.). Diskuze k akciím BBBY. Aktuální informace BBBY.

Základní informace o společnosti Bed, Bath & Beyond Inc. (Akcie BBBY)

Skvělé pro velmi rychlou analýzu společnosti. Investor může porovnat různé ukazatele s konkurenčními firmami.

Tržní kapitalizace 1.46B
Hodnota podniku (EV) 2.47B
Tržby 9.176B
EBITDA 569.907M
Zisk -190.47
Růst v tržbách Q/Q -26.16 %
Růst v tržbách Y/Y -6.95 %
P/E (Cena vůči ziskům) N/A
Forward P/E 33.22
EV/Sales 0.27
EV/EBITDA 4.34
EV/EBIT N/A
PEG 0.74
Price/Sales 0.16
P/FCF N/A
Price/Book 1.14
Účetní hodnota na akcii 12.23
Hotovost na akcii 12.96
FCF vůči ceně -5.68 %
Počet zaměstnanců 37,500
Tržba na zaměstnance 244.697k
Profit margin -1.63 %
Operating margin -1.19 %
Gross margin 33.77 %
EBIT margin -3.30 %
EBITDA margin 6.21 %
EPS - Zisk na akcii N/A
EPS - Kvartální růst -102.55 %
EPS - Očekávaný růst příští rok 4.00 %
Return on assets -2.98 %
Return on equity -16.15 %
ROIC -3.65 %
ROCE -7.76 %
Dluhy/Equity 4.06
Čistý dluh/EBITDA 13.03
Current ratio 1.43
Quick Ratio 0.70
Volatilita 8.24
Beta 0.11
RSI 20.40
Cílová cena analytiků 24
Známka akcie (dle analytiků) 2.75
Insider ownership N/A %
Institutional ownership N/A %
Počet akcií 101.06M
Procento shortovaných akcií 47.75 %
Short ratio 4.23 %
Dividenda 0.00
Procentuální dividenda 0.00 %
Dividenda/Zisk 0.00 %
Obchodovaná od 1992
Země United States

Finanční výsledky akcie BBBY

Finanční výsledky společnosti, napoví investorovi, zda se jedná o kvalitní společnost.

# 2020 2019 2018 2017 2016 2015
Revenue$11,158.58$12,028.8$12,349.3$12,215.76$12,103.89$11,881.18
Cost Of Goods Sold$7,616.92$7,924.817$7,906.286$7,639.407$7,483.577$7,261.397
Gross Profit$3,541.66$4,103.98$4,443.015$4,576.35$4,620.31$4,619.779
Research And Development Expenses------
SG&A Expenses$3,732.498$3,681.21$3,681.694$3,441.14$3,205.407$3,065.486
Other Operating Income Or Expenses------
Operating Expenses$11,858.64$12,115.93$11,587.98$11,080.55$10,688.98$10,326.88
Operating Income$-700.065$-87.135$761.32$1,135.21$1,414.902$1,554.293
Total Non-Operating Income/Expense$-64.789$-69.474$-65.661$-69.555$-87.458$-50.458
Pre-Tax Income$-764.853$-156.609$695.66$1,065.655$1,327.445$1,503.835
Income Taxes$-151.037$-19.385$270.802$380.547$485.956$546.361
Income After Taxes$-613.816$-137.224$424.858$685.108$841.489$957.474
Other Income------
Income From Continuous Operations$-613.816$-137.224$424.858$685.108$841.489$957.474
Income From Discontinued Operations------
Net Income$-613.816$-137.224$424.858$685.108$841.489$957.474
EBITDA$151.673$761.595$1,074.427$1,426.124$1,688.849$1,793.486
EBIT$-700.065$-87.135$761.32$1,135.21$1,414.902$1,554.293
Basic Shares Outstanding124134139149163187
Shares Outstanding124134140150165189
Basic EPS$-4.94$-1.02$3.05$4.61$5.15$5.13
EPS - Earnings Per Share$-4.94$-1.02$3.04$4.58$5.10$5.07
# 2020 2019 2018 2017 2016 2015
Current Ratio1.55131.88191.83361.76722.0492.102
Long-term Debt / Capital0.45750.36750.34060.35420.36810.3535
Debt/Equity Ratio0.84330.58110.51650.54850.58260.5468
Gross Margin31.739334.11835.977937.462738.172138.8832
Operating Margin-6.2738-0.72446.16499.29311.689713.082
EBIT Margin-6.2738-0.72446.16499.29311.689713.082
EBITDA Margin1.35926.33148.700311.674513.95315.0952
Pre-Tax Profit Margin-6.8544-1.3025.63328.723610.967112.6573
Net Profit Margin-5.5008-1.14083.44035.60846.95228.0587
Asset Turnover1.43231.83071.7541.79051.8651.7578
Inventory Turnover Ratio3.63773.0262.89512.62912.62762.658
Receiveable Turnover------
Days Sales In Receivables------
ROE - Return On Equity-34.7783-5.359614.707925.194532.876634.9037
Return On Tangible Equity-34.7784-6.325819.557633.879540.605142.4241
ROA - Return On Assets-7.879-2.08856.034210.041712.965814.1659
ROI - Return On Investment-18.8673-3.38979.698416.2720.77422.565
Book Value Per Share13.94919.362320.559918.590316.335115.7494
Operating Cash Flow Per Share-2.08570.6858-0.81660.772-0.0427-0.2365
Free Cash Flow Per Share-1.9771.0355-1.01050.2668-0.2822-0.4835