3.02 - 3.02
2.85 - 3.74
400 / 3.8K (Avg.)
12.58 | 0.24
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.
14.78%
Revenue growth 1.25-1.5x IXX.DE's 11.75%. Bruce Berkowitz would check if differentiation or pricing power justifies outperformance.
19.93%
Gross profit growth under 50% of IXX.DE's 47.20%. Michael Burry would be concerned about a severe competitive disadvantage.
147.57%
EBIT growth below 50% of IXX.DE's 335.57%. Michael Burry would suspect deeper competitive or cost structure issues.
147.57%
Operating income growth under 50% of IXX.DE's 556.82%. Michael Burry would be concerned about deeper cost or sales issues.
21.06%
Net income growth under 50% of IXX.DE's 3100.00%. Michael Burry would suspect the firm is falling well behind a key competitor.
21.43%
EPS growth under 50% of IXX.DE's 1200.00%. Michael Burry would suspect deeper structural issues or share dilution limiting per-share gains.
21.43%
Diluted EPS growth under 50% of IXX.DE's 1200.00%. Michael Burry would worry about an eroding competitive position or excessive dilution.
0.68%
Share count expansion well above IXX.DE's 0.07%. Michael Burry would question if management is raising capital unnecessarily or is over-incentivizing employees with stock.
No Data
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-100.00%
Dividend reduction while IXX.DE stands at 0.00%. Joel Greenblatt would question the firm’s cash flow stability or capital allocation decisions.
No Data
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63.89%
10Y revenue/share CAGR at 50-75% of IXX.DE's 115.10%. Martin Whitman would question if the firm’s offerings lag behind the competitor.
63.89%
5Y revenue/share CAGR above 1.5x IXX.DE's 37.00%. David Dodd would look for consistent product or market expansions fueling outperformance.
No Data
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368.90%
Positive 10Y CAGR while IXX.DE is negative. John Neff might see a substantial advantage in bottom-line trajectory.
368.90%
Positive 5Y CAGR while IXX.DE is negative. John Neff might view this as a strong mid-term relative advantage.
No Data
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41.23%
Equity/share CAGR of 41.23% while IXX.DE is zero. Bruce Berkowitz might see a slight advantage that can compound significantly over 10 years.
41.23%
5Y equity/share CAGR 1.25-1.5x IXX.DE's 36.30%. Bruce Berkowitz confirms if reinvested profits or buybacks explain the superior buildup.
No Data
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3637.61%
AR growth well above IXX.DE's 8.86%. Michael Burry fears inflated revenue or higher default risk in the near future.
4.19%
Inventory growth well above IXX.DE's 4.29%. Michael Burry suspects overshooting production or weaker sell-through vs. the competitor.
-0.00%
Negative asset growth while IXX.DE invests at 2.43%. Joel Greenblatt checks if the competitor might capture more market share unless our returns remain higher.
4.69%
Positive BV/share change while IXX.DE is negative. John Neff sees a clear edge over a competitor losing equity.
-14.64%
We’re deleveraging while IXX.DE stands at 11.82%. Joel Greenblatt considers if we gain a balance-sheet advantage for potential downturns.
No Data
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11.55%
SG&A growth well above IXX.DE's 15.54%. Michael Burry sees potential margin erosion unless it translates into higher sales or brand equity.