
AutoZone, Inc. - NYSE:AZO - Comprehensive analysis
Free evaluation through quantitative algorithms AutoZone, Inc. - NYSE:AZO
Growth-Scoring Model Detail
Total Revenue Growth Over Prior Year | 4.72 | Market 51 Sector 60 |
Gross Profit Growth Over Prior Year | 5.09 | Market 46 Sector 56 |
EBITDA Growth Over Prior Year | 2.94 | Market 36 Sector 48 |
EBITA Growth Over Prior Year | 1.96 | Market 38 Sector 49 |
EBIT Growth Over Prior Year | 1.96 | Market 34 Sector 48 |
Earnings from Cont. Ops. Growth Over Prior Year | -0.54 | Market 40 Sector 48 |
Net Income Growth Over Prior Year | -0.54 | Market 40 Sector 49 |
Normalized Net Income Growth Over Prior Year | -0.76 | Market 34 Sector 44 |
Diluted EPS before Extra Growth Over Prior Year | 4.76 | Market 47 Sector 53 |
A/R Growth Over Prior Year | 0 | Market 43 Sector 53 |
Inventory Growth Over Prior Year | 10.36 | Market 86 Sector 78 |
PPE Net Growth Over Prior Year | 7.45 | Market 70 Sector 71 |
Total Assets Growth Over Prior Year | 8.37 | Market 76 Sector 78 |
Tangible Book Value Growth Over Prior Year | 0 | Market 0 Sector 0 |
Common Equity Growth Over Prior Year | 0 | Market 0 Sector 0 |
Cash from Ops. Growth Over Prior Year | 0 | Market 47 Sector 55 |
CAPEX Growth Over Prior Year | 0 | Market 50 Sector 55 |
Dividend per Share Growth Over Prior Year | 0 | Market 36 Sector 42 |
Levered Free Cash Flow Growth Over Prior Year | 0 | Market 49 Sector 54 |
Unlevered Free Cash Flow Growth Over Prior Year | 0 | Market 47 Sector 54 |
Profitability-Scoring Model Detail
Gross Margin % | 54 | Market 64 Sector 78 |
SG&A Margin % | 33.1 | Market 85 Sector 68 |
EBITDA Margin % | 23.1 | Market 46 Sector 84 |
EBITA Margin % | 20.1 | Market 52 Sector 85 |
EBIT Margin % | 20.1 | Market 56 Sector 87 |
Earnings from Cont. Ops Margin % | 13.96 | Market 54 Sector 88 |
Net Income Margin % | 13.96 | Market 54 Sector 88 |
Net Income Avail. for Common Margin % | 13.96 | Market 55 Sector 88 |
Normalized Net Income Margin % | 10.95 | Market 55 Sector 88 |
Levered Free Cash Flow Margin % | 0 | Market 20 Sector 23 |
Unlevered Free Cash Flow Margin % | 0 | Market 18 Sector 20 |
Return on Assets % | 13.44 | Market 91 Sector 93 |
Return on Capital % | 30.6 | Market 96 Sector 98 |
Return on Equity % | 0 | Market 0 Sector 0 |
Return on Common Equity % | 0 | Market 0 Sector 0 |
Total Asset Turnover | 1.07 | Market 84 Sector 55 |