10.50 - 11.12
3.81 - 12.83
1.80M / 1.61M (Avg.)
158.14 | 0.07
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.
No Data
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-57.20%
Negative gross profit growth while ODV is at 0.00%. Joel Greenblatt would examine cost competitiveness or demand decline.
84.59%
EBIT growth above 1.5x ODV's 19.97%. David Dodd would confirm if core operations or niche positioning yield superior profitability.
69.43%
Operating income growth above 1.5x ODV's 19.97%. David Dodd would confirm if consistent cost or pricing advantages drive this outperformance.
78.32%
Net income growth under 50% of ODV's 182.15%. Michael Burry would suspect the firm is falling well behind a key competitor.
81.99%
EPS growth under 50% of ODV's 182.56%. Michael Burry would suspect deeper structural issues or share dilution limiting per-share gains.
81.99%
Diluted EPS growth under 50% of ODV's 182.56%. Michael Burry would worry about an eroding competitive position or excessive dilution.
19.87%
Share change of 19.87% while ODV is at zero. Bruce Berkowitz would see if slight buybacks (or dilution) matter in the bigger picture.
19.87%
Diluted share change of 19.87% while ODV is zero. Bruce Berkowitz might see a minor difference that could widen over time.
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90.81%
OCF growth above 1.5x ODV's 28.72%. David Dodd would confirm a clear edge in underlying cash generation.
-55.75%
Negative FCF growth while ODV is at 23.48%. Joel Greenblatt would demand improved cost control or more strategic capex discipline.
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93.83%
OCF/share CAGR of 93.83% while ODV is zero. Bruce Berkowitz might see a slight advantage that could compound over time.
-64.39%
Negative 5Y OCF/share CAGR while ODV is at 0.00%. Joel Greenblatt would question the firm’s operational model or cost structure.
65.10%
3Y OCF/share CAGR of 65.10% while ODV is zero. Bruce Berkowitz might see if small gains can expand into a broader advantage.
80.68%
10Y net income/share CAGR of 80.68% while ODV is zero. Bruce Berkowitz would see if minor gains can compound into a bigger lead over time.
-1696.35%
Negative 5Y net income/share CAGR while ODV is 0.00%. Joel Greenblatt would see fundamental missteps limiting profitability vs. the competitor.
52.62%
3Y net income/share CAGR of 52.62% while ODV is zero. Bruce Berkowitz sees if minor improvements can widen to a bigger advantage.
164.25%
Equity/share CAGR of 164.25% while ODV is zero. Bruce Berkowitz might see a slight advantage that can compound significantly over 10 years.
1464.08%
Equity/share CAGR of 1464.08% while ODV is zero. Bruce Berkowitz might see a minor advantage that could compound if the firm maintains positive net worth growth.
-8.68%
Negative 3Y equity/share growth while ODV is at 0.00%. Joel Greenblatt demands an urgent fix in capital structure or profitability vs. the competitor.
No Data
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7.58%
AR growth of 7.58% while ODV is zero. Bruce Berkowitz wonders if the firm’s additional AR is warranted by strong revenue or potential risk.
No Data
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38.08%
Asset growth of 38.08% while ODV is zero. Bruce Berkowitz checks if modest expansions can create a longer-term lead.
23.14%
BV/share growth of 23.14% while ODV is zero. Bruce Berkowitz sees if small growth can compound into a strong advantage.
-2.21%
We’re deleveraging while ODV stands at 0.00%. Joel Greenblatt considers if we gain a balance-sheet advantage for potential downturns.
No Data
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-19.50%
Both reduce SG&A yoy. Martin Whitman sees a cost war or cyclical slowdown forcing overhead cuts.