Price to book or 4.5x for WNC is significantly higher than the 1.9x industry average, but price to book trades in line with the industry average.
Price to book and price to sales multiples for LTM are pretty much in line with the industry averages.
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These are long term holds, a year out, and based on proprietary models at ValuEngine that choose stocks based on price to book, price to earnings and a host of other metrics.
The Price to Book ratio is a formula that represents the most recent share price of a company compared to its book value per share (the residual dollar value for common shareholders after assets are liquidated and all debtors are paid).
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But a stock with a low price to book, some revenue or earnings growth, and some price appreciation, might attract interest from practitioners of 3 different investment styles so it would rank higher than the stock that just appeals to value investors.
Price to book of 5x is well above the 3.6x industry average while the price to sales multiple of 0.7x is slightly below the 1x industry average.
Its price to book ratio of 3.0 is at a 57.9% premium to the peer group average.
Its price to book ratio of 1.8 is at a significant premium to the industry median of 0.8.
Are the value measures -- price-to- book, price-to-earnings, price-to-cash flow -- in line with those of similar public companies?
For example, a stock that has a low price to book ratio might only be attractive to Value investors.
Its price to book ratio of 12.3 is at a significant premium to the peer group average of 3.8.
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Its price to book ratio of 4.9 is at a significant premium to the peer group median of 1.8.
But he would be more inclined to buy mining shares on price retreats and book some profits on price surges.
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As for stocks, I look for those with low price to sales, low price to earnings, low price to book, etc.
The price targets are getting adjusted lower, and market caps are shrinking, but so are price to earnings and price to book ratios.
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The price to book multiple, generally a more conservative measure, has Boston Beer trading at 5x, just under the industry average of 5.3x.
The most valuable indicators in the Continental telecom group, according to White, are price to cash flow, dividend yield and price to book.
The average Price to Book ratio for the market is 2.2.
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You could make a reasonable argument for why these companies are better investments using fundamental metrics, like price to earnings or price to book value.
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Price to book is around 1.7x versus 2.2x over longer periods.
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The formula is a great indicator, but should not be used alone, however, as a low Price to Book can sometimes indicate an underlying problem with the company.
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He also looks at price-to-book, price-to-cash flow, price-to-cash and debt.
Price-to-book and price-to-cash flow factors resulted in different results.
In addition, ratios of price to sales and price to book value are bumping along their lowest levels of the past four years and are at substantial discounts to their five-year averages.
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Since the best books rarely trade, the industry depends heavily on data from price guides like the highly informative Overstreet Comic Book Price Guide.
Stack looks at historical measures of valuation: price-to-book ratios, price-to-dividend ratios and price-to-earnings ratios.
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