Business Description
DS Smith PLC
ISIN : GB0008220112
Share Class Description:
LSE:SMDS: Ordinary SharesDescription
DS Smith PLC manufactures and sells packaging and packaging-related products. The company produces corrugated boards made from recycled paper materials. The firm organizes itself into four segments. The segments are based on geography: U.K., Western Europe, DCH and Northern Europe, and Central Europe and Italy. The Western Europe and Central Europe and Italy segments generate more revenue than any other segment.
Financial Strength
5/10
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Cash-To-Debt | 0.18 | |||||
Equity-to-Asset | 0.43 | |||||
Debt-to-Equity | 0.7 | |||||
Debt-to-EBITDA | 2.66 | |||||
Interest Coverage | 5.24 | |||||
Piotroski F-Score | 5/9 | |||||
Altman Z-Score | 1.82 | |||||
Beneish M-Score | -2.73 | |||||
WACC vs ROIC |
Growth Rank
6/10
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
3-Year Revenue Growth Rate | 4.4 | |||||
3-Year EBITDA Growth Rate | 11 | |||||
3-Year EPS without NRI Growth Rate | 10.9 | |||||
3-Year Book Growth Rate | 3.6 | |||||
Future 3-5Y EPS without NRI Growth Rate | -5.05 | |||||
Future 3-5Y Total Revenue Growth Rate | -1.7 |
Momentum Rank
9/10
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
5-Day RSI | 85.62 | |||||
9-Day RSI | 79.97 | |||||
14-Day RSI | 74.08 | |||||
6-1 Month Momentum % | 20.85 | |||||
12-1 Month Momentum % | 39.6 |
Liquidity Ratio
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Current Ratio | 0.86 | |||||
Quick Ratio | 0.64 | |||||
Cash Ratio | 0.19 | |||||
Days Sales Outstanding | 63.15 |
Dividend & Buy Back
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Dividend Yield % | 4.28 | |||||
Dividend Payout Ratio | 0.55 | |||||
3-Year Dividend Growth Rate | 65.1 | |||||
Forward Dividend Yield % | 4.28 | |||||
5-Year Yield-on-Cost % | 6.7 | |||||
3-Year Average Share Buyback Ratio | -0.2 | |||||
Shareholder Yield % | -10.46 |
Profitability Rank
7/10
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
Operating Margin % | 8.84 | |||||
Net Margin % | 5.64 | |||||
FCF Margin % | -3.33 | |||||
ROE % | 9.58 | |||||
ROA % | 4.07 | |||||
ROIC % | 6.03 | |||||
ROC (Joel Greenblatt) % | 16.02 | |||||
ROCE % | 9.44 | |||||
Years of Profitability over Past 10-Year | 10 |
GF Value Rank
1/10
Name | Current | Vs Industry | Vs History | |||
---|---|---|---|---|---|---|
PE Ratio | 15.09 | |||||
Forward PE Ratio | 10.36 | |||||
PE Ratio without NRI | 12.8 | |||||
Shiller PE Ratio | 15.4 | |||||
Price-to-Owner-Earnings | 38.62 | |||||
PEG Ratio | 1.94 | |||||
PS Ratio | 0.85 | |||||
PB Ratio | 1.47 | |||||
Price-to-Tangible-Book | 5.07 | |||||
Price-to-Operating-Cash-Flow | 18.15 | |||||
EV-to-EBIT | 13.06 | |||||
EV-to-Forward-EBIT | 12.57 | |||||
EV-to-EBITDA | 7.77 | |||||
EV-to-Forward-EBITDA | 7.81 | |||||
EV-to-Revenue | 1.18 | |||||
EV-to-Forward-Revenue | 1.1 | |||||
EV-to-FCF | -35.57 | |||||
Price-to-Projected-FCF | 1.07 | |||||
Price-to-DCF (Earnings Based) | 1.11 | |||||
Price-to-Median-PS-Value | 1.05 | |||||
Price-to-Peter-Lynch-Fair-Value | 1.96 | |||||
Price-to-Graham-Number | 1.7 | |||||
Earnings Yield (Greenblatt) % | 7.66 | |||||
FCF Yield % | -3.91 | |||||
Forward Rate of Return (Yacktman) % | 10.98 |