OTC: ATZAF - Aritzia Inc.

Yield per half year: +57.84%
Sector: Consumer Cyclical

Aritzia Inc.

Underestimation
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
P/E
3/10
51.76 45.49 13.78% 60.8 -14.87%
P/S 1.75 6 -70.86%
P/BV 5.05 -86.61 -105.83%
P/FCF 0 11.58 -100%
Ev/Ebitda 13.65 28.99 -52.9%
Ev/S 2.02 6.54 -69.04%
Ev/FCF 25.91 15.8 64%
E/P 0 2 -100%
Efficiency
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Ebitda margin
4/10
14.82 22.21 -33.27% 20.18 -26.54%
ROE 9.76 -143.12 -106.82%
ROA 4.05 6.36 -36.31%
ROIC 0 12.85 -100%
ROS 3.38 10.56 -67.98%
ROCE 22 -142.9 -115.4%
Debt
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Debt/Ebitda
6/10
2.33 10.93 -78.67% 1.42 64.31%
Nеt Debt/Ebitda 1.86 4.77 -61.01%
Debt/Ratio 0.4141 0.4196 -1.31%
Debt/Equity 0.8734 23.9 -96.35%
Debt/Net Income 10.23 7.44 37.52%
Dividends
Parameter Grade Value Sector average Difference with sector, % Average for 5 years Difference from average, %
Dividend yield
0/10
0 6.24 -100% 0 0%
Number of years of dividend growth 0 1.38 -100%
DSI 0 0.7918 -100%
Average dividend growth 0 -197.87 -100%
Average percentage for 5 years 0 6.09 -100%
Average percentage for payments 10.14 68.75 -85.25%
Difference from average difference in sector -6.24
Growth impulse
Parameter Grade Value Sector average Difference with sector, %
Growth impulse Revenue 5 years
10/10
137.85 316.44 -56.44%
Growth impulse Ebitda 5 years 40.11 467.4 -91.42%
Growth impulse Net Income 5 years -13.04 726.57 -101.79%
Growth impulse FCF 5 years 4.52 145.46 -96.89%
Growth impulse EPS 5 years -21.6 210.52 -110.26%
IP Score
3.64/10

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