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NYSE:RLGY

Realogy Holdings Corp.

  • Stock

USD

Last Close

12.25

09/06 04:00

Market Cap

1.32B

Beta: 2.47

Volume Today

1.14M

Avg: 1.61M

PE Ratio

11.14

PFCF: −5.07

Preview

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Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
asset turnover
0.76
-
0.78
3.33%
0.83
6.44%
0.83
0.07%
0.74
11.00%
0.90
20.89%
1.11
23.41%
cash conversion cycle
9.56
-
7.53
21.24%
4.82
35.98%
6.29
30.50%
-4.56
172.58%
2.42
153.01%
2.00
17.49%
cash per share
2.83
-
1.90
33.06%
1.66
12.43%
1.81
9.27%
2.06
13.41%
4.51
119.36%
6.38
41.35%
company equity multiplier
3.11
-
3.01
3.30%
2.80
6.95%
3.15
12.56%
3.61
14.30%
3.93
9.08%
3.30
16.14%
days of inventory outstanding
days of payables outstanding
17.31
-
17.35
0.24%
17.63
1.60%
16.35
7.26%
9.71
40.58%
13.25
36.35%
9.98
24.63%
days of sales outstanding
26.87
-
24.88
7.40%
22.45
9.77%
22.64
0.84%
5.15
77.24%
15.67
204.13%
11.98
23.53%
dividend yield
0.01
-
0.01
93.43%
0.02
82.76%
0.03
13.44%
0.03
-
ebit per revenue
0.10
-
0.10
0.72%
0.08
12.11%
0.08
8.96%
0.07
12.29%
0.07
2.87%
0.08
24.72%
ebt per ebit
0.51
-
0.62
22.43%
0.68
8.74%
0.45
34.22%
-0.42
193.60%
-1.45
246.55%
0.67
145.99%
effective tax rate
0.39
-
0.41
5.78%
-0.19
144.88%
0.31
267.94%
0.14
55.23%
0.18
26.38%
0.31
73.75%
enterprise value multiple
12.27
-
9.76
20.42%
9.61
1.58%
9.16
4.72%
20.75
126.61%
-152.39
834.49%
5.53
103.63%
fixed asset turnover
22.46
-
21.16
-
20.00
5.48%
10.87
45.64%
13.82
27.18%
17.62
27.47%
free cash flow per share
3.14
-
3.46
10.20%
4.16
20.08%
2.33
43.91%
2.30
1.19%
5.67
146.13%
4.70
17.00%
gross profit margin
0.49
-
0.49
1.40%
0.47
4.34%
0.46
2.46%
0.44
5.19%
0.43
0.73%
0.40
6.57%
interest coverage
2.39
-
3.21
34.20%
3.27
1.85%
2.46
24.72%
1.52
38.37%
1.66
9.25%
3.44
107.22%
inventory turnover
long term debt to capitalization
0.55
-
0.57
3.51%
0.55
3.21%
0.55
0.69%
0.61
10.53%
0.67
10.61%
0.61
9.57%
net income per ebt
0.65
-
0.61
6.46%
1.23
101.19%
0.66
46.62%
1.19
81.52%
0.61
48.81%
0.79
29.45%
net profit margin
0.03
-
0.04
13.69%
0.07
92.29%
0.02
68.03%
-0.03
249.02%
-0.06
72.31%
0.04
174.25%
operating cash flow per share
3.71
-
4.06
9.40%
4.88
20.11%
3.18
34.88%
3.25
2.24%
6.49
99.87%
5.58
14.04%
operating cycle
26.87
-
24.88
7.40%
22.45
9.77%
22.64
0.84%
5.15
77.24%
15.67
204.13%
11.98
23.53%
operating profit margin
0.10
-
0.10
0.72%
0.08
12.11%
0.08
8.96%
0.07
12.29%
0.07
2.87%
0.08
24.72%
payables turnover
21.09
-
21.04
0.24%
20.71
1.57%
22.33
7.83%
37.57
68.28%
27.55
26.66%
36.56
32.69%
pretax profit margin
0.05
-
0.06
21.54%
0.06
4.43%
0.03
40.11%
-0.03
182.09%
-0.10
236.59%
0.05
157.36%
price fair value
2.22
-
1.51
32.08%
1.38
8.30%
0.79
43.07%
0.53
32.91%
0.86
62.24%
0.89
3.33%
receivables turnover
13.59
-
14.67
7.99%
16.26
10.83%
16.12
0.84%
70.86
339.46%
23.30
67.12%
30.47
30.77%
return on assets
0.02
-
0.03
17.48%
0.06
104.66%
0.02
68.01%
-0.02
232.62%
-0.05
108.31%
0.05
191.63%
return on capital employed
0.09
-
0.09
5.98%
0.08
7.67%
0.08
0.25%
0.06
27.24%
0.07
16.85%
0.11
53.58%
return on equity
0.08
-
0.09
13.60%
0.16
90.44%
0.06
63.99%
-0.09
251.59%
-0.20
127.22%
0.16
176.84%
total debt to capitalization
0.62
-
0.60
3.09%
0.57
4.33%
0.62
7.92%
0.62
0.27%
0.69
10.56%
0.62
9.42%

All numbers in USD (except ratios and percentages)