205.24 - 207.41
139.95 - 221.69
4.54M / 6.54M (Avg.)
37.59 | 5.48
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.
3.26%
Revenue growth similar to NXPI's 3.21%. Walter Schloss would see if both companies share industry tailwinds.
3.26%
Gross profit growth above 1.5x NXPI's 0.13%. David Dodd would confirm if the company's business model is superior in terms of production costs or pricing.
3.26%
Positive EBIT growth while NXPI is negative. John Neff might see a substantial edge in operational management.
3.26%
Positive operating income growth while NXPI is negative. John Neff might view this as a competitive edge in operations.
13.82%
Positive net income growth while NXPI is negative. John Neff might see a big relative performance advantage.
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0.38%
Slight or no buybacks while NXPI is reducing shares. John Neff might see a missed opportunity if the company’s stock is cheap.
0.38%
Slight or no buyback while NXPI is reducing diluted shares. John Neff might consider the competitor’s approach more shareholder-friendly.
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15.18%
10Y revenue/share CAGR under 50% of NXPI's 79.10%. Michael Burry would suspect a lasting competitive disadvantage.
15.18%
5Y revenue/share CAGR under 50% of NXPI's 77.31%. Michael Burry would suspect a significant competitive gap or product weakness.
15.18%
Positive 3Y CAGR while NXPI is negative. John Neff might view this as a sharp short-term edge or successful pivot strategy.
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165.52%
Net income/share CAGR above 1.5x NXPI's 36.73% over 10 years. David Dodd would confirm if brand, IP, or scale secure this persistent advantage.
165.52%
5Y net income/share CAGR at 50-75% of NXPI's 328.95%. Martin Whitman might see a shortfall in operational efficiency or brand power.
165.52%
Positive short-term CAGR while NXPI is negative. John Neff would see a clear advantage in near-term profit trajectory.
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