1.43 - 1.45
1.18 - 2.36
880.0K / 1.73M (Avg.)
-18.00 | -0.08
Steady, sustainable growth is a hallmark of high-quality businesses. Value investors watch these metrics to confirm that the company's fundamental performance aligns with—or outpaces—its current market valuation.
-17.62%
Both firms have declining sales. Martin Whitman would suspect an industry slump or new disruptive entrants.
8.58%
Positive gross profit growth while 1097.HK is negative. John Neff would see a clear operational edge over the competitor.
158.34%
EBIT growth above 1.5x 1097.HK's 101.55%. David Dodd would confirm if core operations or niche positioning yield superior profitability.
121.11%
Operating income growth 1.25-1.5x 1097.HK's 101.55%. Bruce Berkowitz would see if strategic measures (e.g., cost cutting, product mix) are succeeding.
-22.97%
Both companies face declining net income. Martin Whitman would suspect external pressures or flawed business models in the space.
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1.68%
Slight or no buybacks while 1097.HK is reducing shares. John Neff might see a missed opportunity if the company’s stock is cheap.
2.75%
Slight or no buyback while 1097.HK is reducing diluted shares. John Neff might consider the competitor’s approach more shareholder-friendly.
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947.52%
OCF growth above 1.5x 1097.HK's 16.55%. David Dodd would confirm a clear edge in underlying cash generation.
43.52%
Positive FCF growth while 1097.HK is negative. John Neff would see a strong competitive edge in net cash generation.
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-34.46%
We cut SG&A while 1097.HK invests at 0.00%. Joel Greenblatt sees a short-term margin benefit but wonders if the competitor invests for future gains.