111.48 - 114.40
76.75 - 114.39
5.09M / 4.21M (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.
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60.28%
Positive 10Y revenue/share CAGR while VMC is negative. John Neff might see a distinct advantage in product or market expansion over the competitor.
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38.89%
3Y revenue/share CAGR 1.25-1.5x VMC's 26.45%. Bruce Berkowitz might see better product or regional expansions than the competitor.
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113.04%
3Y OCF/share CAGR under 50% of VMC's 279.38%. Michael Burry would worry about a significant short-term disadvantage in generating operational cash.
-28.72%
Both face negative decade-long net income/share CAGR. Martin Whitman would suspect a shrinking or highly disrupted sector.
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528.84%
3Y net income/share CAGR above 1.5x VMC's 323.14%. David Dodd would confirm the company’s short-term strategies outmatch the competitor significantly.
0.03%
Below 50% of VMC's 69.39%. Michael Burry would suspect poor capital allocation or persistent net losses eroding long-term equity build-up.
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8.49%
3Y equity/share CAGR at 50-75% of VMC's 14.67%. Martin Whitman sees a short-term lag in net worth creation vs. the competitor.
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-28.48%
Negative near-term dividend growth while VMC invests at 1900.59%. Joel Greenblatt sees a weaker short-term distribution policy unless justified by strategic spending.
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