111.48 - 114.40
76.75 - 114.40
5.09M / 4.23M (Avg.)
23.96 | 4.77
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.
5.55%
Revenue growth under 50% of MLM's 21.63%. Michael Burry would suspect a deteriorating sales pipeline or weaker brand.
-68.24%
Negative gross profit growth while MLM is at 82.54%. Joel Greenblatt would examine cost competitiveness or demand decline.
-91.94%
Negative EBIT growth while MLM is at 133.25%. Joel Greenblatt would demand a turnaround plan focusing on core profitability.
-91.94%
Negative operating income growth while MLM is at 133.25%. Joel Greenblatt would press for urgent turnaround measures.
3.82%
Net income growth under 50% of MLM's 144.43%. Michael Burry would suspect the firm is falling well behind a key competitor.
2.17%
EPS growth under 50% of MLM's 144.12%. Michael Burry would suspect deeper structural issues or share dilution limiting per-share gains.
2.17%
Diluted EPS growth under 50% of MLM's 146.97%. Michael Burry would worry about an eroding competitive position or excessive dilution.
0.35%
Slight or no buybacks while MLM is reducing shares. John Neff might see a missed opportunity if the company’s stock is cheap.
1.30%
Slight or no buyback while MLM is reducing diluted shares. John Neff might consider the competitor’s approach more shareholder-friendly.
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333.98%
10Y revenue/share CAGR above 1.5x MLM's 197.08%. David Dodd would confirm if management’s strategic vision consistently outperforms the competitor.
110.69%
5Y revenue/share CAGR above 1.5x MLM's 28.42%. David Dodd would look for consistent product or market expansions fueling outperformance.
91.60%
3Y revenue/share CAGR above 1.5x MLM's 33.60%. David Dodd would confirm if there's an emerging competitive moat driving recent gains.
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328.52%
Net income/share CAGR above 1.5x MLM's 186.16% over 10 years. David Dodd would confirm if brand, IP, or scale secure this persistent advantage.
244.12%
5Y net income/share CAGR above 1.5x MLM's 102.39%. David Dodd would confirm if the firm’s strategy is more effective in generating mid-term profits.
270.44%
3Y net income/share CAGR above 1.5x MLM's 104.72%. David Dodd would confirm the company’s short-term strategies outmatch the competitor significantly.
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63.86%
5Y equity/share CAGR above 1.5x MLM's 34.52%. David Dodd might see stronger earnings retention or fewer asset impairments fueling growth.
50.79%
3Y equity/share CAGR above 1.5x MLM's 20.24%. David Dodd verifies the company’s short-term capital management far exceeds the competitor’s pace.
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