1.17 - 1.17
1.10 - 1.60
414 / 2.1K (Avg.)
-9.00 | -0.13
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.
-15.50%
Negative revenue growth while VPLAY-B.ST stands at 7.77%. Joel Greenblatt would look for strategic missteps or cyclical reasons.
-120.10%
Negative gross profit growth while VPLAY-B.ST is at 24.39%. Joel Greenblatt would examine cost competitiveness or demand decline.
-208.11%
Negative EBIT growth while VPLAY-B.ST is at 31.21%. Joel Greenblatt would demand a turnaround plan focusing on core profitability.
-208.30%
Negative operating income growth while VPLAY-B.ST is at 53.14%. Joel Greenblatt would press for urgent turnaround measures.
-399.22%
Negative net income growth while VPLAY-B.ST stands at 52.31%. Joel Greenblatt would push for a reevaluation of cost or revenue strategies.
-400.00%
Negative EPS growth while VPLAY-B.ST is at 52.16%. Joel Greenblatt would expect urgent managerial action on costs or revenue drivers.
-400.00%
Negative diluted EPS growth while VPLAY-B.ST is at 52.02%. Joel Greenblatt would require immediate efforts to restrain share issuance or boost net income.
No Data
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73.48%
OCF growth under 50% of VPLAY-B.ST's 275.14%. Michael Burry might suspect questionable revenue recognition or rising costs.
53.77%
FCF growth under 50% of VPLAY-B.ST's 242.04%. Michael Burry would suspect weaker operating efficiencies or heavier capex burdens.
202.52%
10Y CAGR of 202.52% while VPLAY-B.ST is zero. Bruce Berkowitz would see if incremental growth can widen into a significant edge.
202.52%
5Y CAGR of 202.52% while VPLAY-B.ST is zero. Bruce Berkowitz would see if small improvements can scale into a larger advantage.
39.40%
3Y CAGR of 39.40% while VPLAY-B.ST is zero. Bruce Berkowitz would see if small gains can accelerate to a more decisive lead.
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87.78%
3Y OCF/share CAGR of 87.78% while VPLAY-B.ST is zero. Bruce Berkowitz might see if small gains can expand into a broader advantage.
-342.37%
Negative 10Y net income/share CAGR while VPLAY-B.ST is at 0.00%. Joel Greenblatt sees a major red flag in long-term profit erosion.
-342.37%
Negative 5Y net income/share CAGR while VPLAY-B.ST is 0.00%. Joel Greenblatt would see fundamental missteps limiting profitability vs. the competitor.
-251.83%
Negative 3Y CAGR while VPLAY-B.ST is 0.00%. Joel Greenblatt might call for a short-term turnaround strategy or cost realignment.
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1067.01%
Equity/share CAGR of 1067.01% while VPLAY-B.ST is zero. Bruce Berkowitz sees if minor gains can snowball into a bigger lead soon.
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-73.67%
Firm’s AR is declining while VPLAY-B.ST shows 0.00%. Joel Greenblatt sees stronger working capital efficiency if sales hold up.
-58.40%
Inventory is declining while VPLAY-B.ST stands at 0.00%. Joel Greenblatt sees potential cost and margin benefits if sales hold up.
-18.00%
Negative asset growth while VPLAY-B.ST invests at 0.00%. Joel Greenblatt checks if the competitor might capture more market share unless our returns remain higher.
-16.67%
We have a declining book value while VPLAY-B.ST shows 0.00%. Joel Greenblatt sees a fundamental disadvantage in net worth creation vs. the competitor.
-40.97%
We’re deleveraging while VPLAY-B.ST stands at 0.00%. Joel Greenblatt considers if we gain a balance-sheet advantage for potential downturns.
No Data
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-12.04%
We cut SG&A while VPLAY-B.ST invests at 5.72%. Joel Greenblatt sees a short-term margin benefit but wonders if the competitor invests for future gains.