British American Tobacco p.l.c. (NYSE:BTI) share price swings at $62.78 with percentage change of 3.92% in most recent trading session.
Profitability Valuation
The profit margin can answer significantly to find consistent trends in a firm’s earnings, British American Tobacco p.l.c. (NYSE:BTI) has positive 22.90% profit margin that indicates every dollar of sales a firm actually keeps in earnings, and the larger number indicates improving and vise worse. The firm has gross profit margin of 75.20% and operating profit margin calculated as 22.80%. Moving toward returns ratio, BTI has returns on investment of 11.60% which indicates firm’s investment efficiency or to compare the efficiency of a number of different investments.
While returns on assets calculated as 12.70% that gives an idea about how efficient management is at using its assets to generate earnings. British American Tobacco p.l.c. (NYSE:BTI) has returns on equity of 69.10%, which is measuring a corporation’s profitability by revealing how much profit generates by BTI with the shareholders’ money. The firm attains analyst recommendation of 1.00 on scale of 1-5 with week’s performance of -0.11%.
Effective Investment Valuation
To persist focus on investment valuation, British American Tobacco p.l.c. (NYSE:BTI) also have significant role in eyes of active investors, it has price to earnings growth of 0.34, which is a valuation metric for determining relative trade-off among price of a stock.
BTI has price to earnings growth ratio of 0.34, it is adding factors in a stock’s estimated earnings growth into its current valuation that showed 3.55 by price to earning ration. Furthermore, it has price to sale ratio of 4.91 that signifies the value placed on each dollar of a firm’s sales or incomes. The firm’s price to book was 10.82, which can be compared with current price to get idea about under or overvalue of stock.
To have technical views, liquidity ratio of British American Tobacco p.l.c. (NYSE:BTI) calculated as 0.90 to match up with its debt to equity ratio of 2.71. The float short ration was 0.22%; as compared to Short Ratio were 2.58. The firm has institutional ownership of 8.90%, while insider ownership included 4.60%.