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.
27.06%
Revenue growth above 1.5x MLM's 3.73%. David Dodd would confirm if the firm has a unique advantage driving sales higher.
316.29%
Gross profit growth above 1.5x MLM's 5.39%. David Dodd would confirm if the company's business model is superior in terms of production costs or pricing.
1708.06%
EBIT growth above 1.5x MLM's 9.68%. David Dodd would confirm if core operations or niche positioning yield superior profitability.
1708.06%
Operating income growth above 1.5x MLM's 9.68%. David Dodd would confirm if consistent cost or pricing advantages drive this outperformance.
132.28%
Net income growth above 1.5x MLM's 24.22%. David Dodd would check if a unique moat or cost structure secures superior bottom-line gains.
105.26%
EPS growth above 1.5x MLM's 25.00%. David Dodd would review if superior product economics or effective buybacks drive the outperformance.
105.26%
Diluted EPS growth above 1.5x MLM's 24.62%. David Dodd would see if there's a robust moat protecting these shareholder gains.
11.99%
Slight or no buybacks while MLM is reducing shares. John Neff might see a missed opportunity if the company’s stock is cheap.
12.42%
Slight or no buyback while MLM is reducing diluted shares. John Neff might consider the competitor’s approach more shareholder-friendly.
No Data
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328.66%
10Y revenue/share CAGR above 1.5x MLM's 193.58%. David Dodd would confirm if management’s strategic vision consistently outperforms the competitor.
2115.31%
5Y revenue/share CAGR above 1.5x MLM's 50.30%. David Dodd would look for consistent product or market expansions fueling outperformance.
48.07%
3Y revenue/share CAGR above 1.5x MLM's 23.18%. David Dodd would confirm if there's an emerging competitive moat driving recent gains.
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459.71%
Net income/share CAGR above 1.5x MLM's 223.04% over 10 years. David Dodd would confirm if brand, IP, or scale secure this persistent advantage.
91.12%
5Y net income/share CAGR similar to MLM's 83.15%. Walter Schloss might see both on parallel mid-term trajectories.
58.88%
3Y net income/share CAGR 50-75% of MLM's 106.55%. Martin Whitman might see a lagging edge in short-term profitability vs. the competitor.
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-100.00%
We cut SG&A while MLM invests at 5.20%. Joel Greenblatt sees a short-term margin benefit but wonders if the competitor invests for future gains.