0.06 - 0.07
0.06 - 0.24
1.89M / 3.59M (Avg.)
-1.60 | -0.04
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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-100.00%
Negative 10Y revenue/share CAGR while NHC.AX stands at 261.74%. Joel Greenblatt would question if the company is failing to keep pace with industry changes.
-100.00%
Negative 5Y CAGR while NHC.AX stands at 46.01%. Joel Greenblatt would push for a turnaround plan or reevaluation of the company’s product line.
-100.00%
Negative 3Y CAGR while NHC.AX stands at 39.23%. Joel Greenblatt would look for missteps or fading competitiveness that hurt sales.
124.12%
OCF/share CAGR of 124.12% while NHC.AX is zero. Bruce Berkowitz might see a slight advantage that could compound over time.
124.12%
OCF/share CAGR of 124.12% while NHC.AX is zero. Bruce Berkowitz would see if modest momentum can translate into a bigger competitive lead.
124.12%
3Y OCF/share CAGR of 124.12% while NHC.AX is zero. Bruce Berkowitz might see if small gains can expand into a broader advantage.
-21.39%
Negative 10Y net income/share CAGR while NHC.AX is at 0.00%. Joel Greenblatt sees a major red flag in long-term profit erosion.
-21.39%
Both exhibit negative net income/share growth over five years. Martin Whitman would suspect a challenging environment for the entire niche.
-21.39%
Both companies show negative 3Y net income/share growth. Martin Whitman suspects macro or sector-specific headwinds in the short run.
-92.48%
Negative equity/share CAGR over 10 years while NHC.AX stands at 133.22%. Joel Greenblatt sees a fundamental red flag unless the competitor also struggles.
-92.48%
Both show negative equity/share growth mid-term. Martin Whitman suspects cyclical or structural challenges for each company.
-92.48%
Both show negative short-term equity/share CAGR. Martin Whitman suspects an industry slump or unprofitable expansions for both players.
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