GOLF
Acushnet Holdings
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Index: NYSE; Sector: Consumer Cyclical; Industry: Recreational Products;
Marketcap: 2.46B; Volume: 149.56K; AvgVol 3m: 252.55K; Beta: 0.89;
Cost estimate:
P/E: 44.75; EPS: 0.78; EPS growth quarter/prev quarter: -93.90%;
EPS growth this year: 9.00%; EPS growth past 5 years: 97.80%;
EPS ttm: 0.78;
P/S: 1.76; P/B: 2.93; P/Cashflow: 23.64; P/FCF: 158.10;
Sales: 1.49B; Sales growth quarter/prev quarter: -35.10%; Sales growth past 5 years: 1.80%;
Profitability:
Gross Margin: 51.00%; Profit Margin: 3.90%; Operating Margin: 7.10%;
ROA – return on assets: 3.20%; ROE – return on equity: 6.50%; LT Debt/Equity: 0.36; Total Debt/Equity: 0.58;
Dividend: 0.62; Dividend Yield (%): 1.78%;
Insider Ownership: 1.50%; Insider Transactions:-1.77%;
Institutional Ownership: 53.40%; Institutional Transactions: 9.94%;
Data update: 07.10.2020.