215.00 - 235.00
210.00 - 590.00
2.95M / 482.4K (Avg.)
11.40 | 0.20
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.
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536.59%
Positive 10Y revenue/share CAGR while SOM.L is negative. John Neff might see a distinct advantage in product or market expansion over the competitor.
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156.36%
Positive 3Y CAGR while SOM.L is negative. John Neff might view this as a sharp short-term edge or successful pivot strategy.
269.17%
Positive long-term OCF/share growth while SOM.L is negative. John Neff would see a structural advantage in sustained cash generation.
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118.35%
Positive 3Y OCF/share CAGR while SOM.L is negative. John Neff might see a big short-term edge in operational efficiency.
107.81%
Positive 10Y CAGR while SOM.L is negative. John Neff might see a substantial advantage in bottom-line trajectory.
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687.99%
Positive short-term CAGR while SOM.L is negative. John Neff would see a clear advantage in near-term profit trajectory.
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-11.86%
Both show negative short-term equity/share CAGR. Martin Whitman suspects an industry slump or unprofitable expansions for both players.
779.85%
Dividend/share CAGR of 779.85% while SOM.L is zero. Bruce Berkowitz sees a slight advantage in stepping up payouts steadily.
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400.08%
Our short-term dividend growth is positive while SOM.L cut theirs. John Neff views it as a comparative advantage in shareholder returns.
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