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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-59.30%
Negative 5Y CAGR while NHC.AX stands at 36.84%. Joel Greenblatt would push for a turnaround plan or reevaluation of the company’s product line.
-30.20%
Negative 3Y CAGR while NHC.AX stands at 107.51%. Joel Greenblatt would look for missteps or fading competitiveness that hurt sales.
94.58%
10Y OCF/share CAGR under 50% of NHC.AX's 238.95%. Michael Burry would worry about a persistent underperformance in cash creation.
-105.84%
Both show negative mid-term OCF/share growth. Martin Whitman might suspect a challenged environment or large capital demands for both.
88.82%
3Y OCF/share CAGR at 75-90% of NHC.AX's 105.67%. Bill Ackman would press for improvements in margin or overhead to catch up.
121.88%
Below 50% of NHC.AX's 1000.00%. Michael Burry would worry about a sizable gap in long-term profitability gains vs. the competitor.
377.12%
5Y net income/share CAGR above 1.5x NHC.AX's 106.63%. David Dodd would confirm if the firm’s strategy is more effective in generating mid-term profits.
149.43%
Below 50% of NHC.AX's 546.43%. Michael Burry suspects a steep short-term disadvantage in bottom-line expansion.
-87.09%
Negative equity/share CAGR over 10 years while NHC.AX stands at 25.93%. Joel Greenblatt sees a fundamental red flag unless the competitor also struggles.
105.50%
5Y equity/share CAGR above 1.5x NHC.AX's 26.18%. David Dodd might see stronger earnings retention or fewer asset impairments fueling growth.
539.08%
3Y equity/share CAGR above 1.5x NHC.AX's 47.69%. David Dodd verifies the company’s short-term capital management far exceeds the competitor’s pace.
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