NYSE: BTI - British American Tobacco

Yield per half year: +32.77%
Sector: Consumer Staples

British American Tobacco

Underestimation
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
P/E
9/10
11.44 36.1 -68.31% 9.44 21.19%
P/S 1.88 3.59 -47.72%
P/BV 0.967 15.73 -93.85%
P/FCF 7.02 18.26 -61.55%
Ev/Ebitda 8.9 23.85 -62.68%
Ev/S 3.25 4.09 -20.7%
Ev/FCF 8.64 68.6 -87.41%
E/P -0.1996 0.0868 -330.04%
Efficiency
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Ebitda margin
9/10
36.46 19.8 84.12% 43.58 -16.34%
ROE -27.33 51.35 -153.22%
ROA -12.1 7.73 -256.58%
ROIC 7.41 16.22 -54.31%
ROS -52.66 9.42 -658.86%
ROCE 17.16 19.81 -13.37%
Debt
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Debt/Ebitda
3/10
3.96 2.79 41.69% 3.68 7.5%
Nеt Debt/Ebitda 3.76 2.56 46.96%
Debt/Ratio 0.3316 0.3792 -12.56%
Debt/Equity 6.59 2.31 185.97%
Debt/Net Income -2.74 5.13 -153.42%
Dividends
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Dividend yield
10/10
8.64 2.98 189.76% 7.99 8.08%
Number of years of dividend growth 1 0.381 162.5%
DSI 0.8571 0.8798 -2.58%
Average dividend growth 1.96 -3.7 -153.01%
Average percentage for 5 years 7.99 2.73 192.65%
Average percentage for payments 69.92 79.03 -11.53%
Difference from average difference in sector 5.66
Growth impulse
Parameter Grade Value Sector average Difference with sector, %
Growth impulse Revenue 5 years
1/10
5.43 79.37 -93.16%
Growth impulse Ebitda 5 years -11.49 38.4 -129.92%
Growth impulse Net Income 5 years -351.88 15.11 -2428.79%
Growth impulse FCF 5 years 25.34 25.28 0.2373%
Growth impulse EPS 5 years -463.6 40.81 -1236%
IP Score
4.82/10

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