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.
-0.22%
Negative revenue growth while MLM stands at 31.89%. Joel Greenblatt would look for strategic missteps or cyclical reasons.
-71.13%
Negative gross profit growth while MLM is at 85.39%. Joel Greenblatt would examine cost competitiveness or demand decline.
-92.68%
Negative EBIT growth while MLM is at 144.34%. Joel Greenblatt would demand a turnaround plan focusing on core profitability.
-92.68%
Negative operating income growth while MLM is at 144.34%. Joel Greenblatt would press for urgent turnaround measures.
-0.27%
Negative net income growth while MLM stands at 205.81%. Joel Greenblatt would push for a reevaluation of cost or revenue strategies.
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-0.96%
Share reduction while MLM is at 0.03%. Joel Greenblatt would see if the company has a better buyback policy than the competitor.
-1.17%
Both reduce diluted shares. Martin Whitman would review each firm’s ability to continue repurchases and manage option issuance.
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336.77%
10Y revenue/share CAGR above 1.5x MLM's 143.41%. David Dodd would confirm if management’s strategic vision consistently outperforms the competitor.
218.02%
5Y revenue/share CAGR above 1.5x MLM's 50.12%. David Dodd would look for consistent product or market expansions fueling outperformance.
97.74%
3Y revenue/share CAGR above 1.5x MLM's 23.46%. David Dodd would confirm if there's an emerging competitive moat driving recent gains.
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241.78%
Net income/share CAGR above 1.5x MLM's 97.90% over 10 years. David Dodd would confirm if brand, IP, or scale secure this persistent advantage.
490.92%
5Y net income/share CAGR above 1.5x MLM's 90.40%. David Dodd would confirm if the firm’s strategy is more effective in generating mid-term profits.
99.03%
3Y net income/share CAGR above 1.5x MLM's 16.94%. David Dodd would confirm the company’s short-term strategies outmatch the competitor significantly.
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143.10%
5Y equity/share CAGR above 1.5x MLM's 10.78%. David Dodd might see stronger earnings retention or fewer asset impairments fueling growth.
79.17%
3Y equity/share CAGR above 1.5x MLM's 0.62%. David Dodd verifies the company’s short-term capital management far exceeds the competitor’s pace.
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