
Analog Devices, Inc. - NASDAQGS:ADI - Comprehensive analysis
Free evaluation through quantitative algorithms Analog Devices, Inc. - NASDAQGS:ADI
Growth-Scoring Model Detail
Total Revenue Growth Over Prior Year | 7.08 | Market 63 Sector 51 |
Gross Profit Growth Over Prior Year | 11.33 | Market 74 Sector 58 |
EBITDA Growth Over Prior Year | 6.55 | Market 49 Sector 39 |
EBITA Growth Over Prior Year | 5.86 | Market 51 Sector 37 |
EBIT Growth Over Prior Year | 17.02 | Market 73 Sector 53 |
Earnings from Cont. Ops. Growth Over Prior Year | 18.24 | Market 68 Sector 60 |
Net Income Growth Over Prior Year | 18.24 | Market 69 Sector 60 |
Normalized Net Income Growth Over Prior Year | 21.8 | Market 76 Sector 58 |
Diluted EPS before Extra Growth Over Prior Year | 18.69 | Market 68 Sector 61 |
A/R Growth Over Prior Year | 37.8 | Market 95 Sector 82 |
Inventory Growth Over Prior Year | 11.83 | Market 85 Sector 85 |
PPE Net Growth Over Prior Year | -2.84 | Market 15 Sector 42 |
Total Assets Growth Over Prior Year | -0.88 | Market 21 Sector 35 |
Tangible Book Value Growth Over Prior Year | 0 | Market 0 Sector 0 |
Common Equity Growth Over Prior Year | -3.14 | Market 18 Sector 29 |
Cash from Ops. Growth Over Prior Year | 4.34 | Market 51 Sector 43 |
CAPEX Growth Over Prior Year | -53.54 | Market 2 Sector 12 |
Dividend per Share Growth Over Prior Year | 7.46 | Market 72 Sector 95 |
Levered Free Cash Flow Growth Over Prior Year | 18.12 | Market 69 Sector 65 |
Unlevered Free Cash Flow Growth Over Prior Year | 17 | Market 68 Sector 65 |
Profitability-Scoring Model Detail
Gross Margin % | 61 | Market 74 Sector 63 |
SG&A Margin % | 11.52 | Market 44 Sector 12 |
EBITDA Margin % | 44.7 | Market 84 Sector 97 |
EBITA Margin % | 40.9 | Market 92 Sector 97 |
EBIT Margin % | 25.3 | Market 73 Sector 91 |
Earnings from Cont. Ops Margin % | 18.85 | Market 71 Sector 87 |
Net Income Margin % | 18.85 | Market 72 Sector 87 |
Net Income Avail. for Common Margin % | 18.85 | Market 72 Sector 87 |
Normalized Net Income Margin % | 14.53 | Market 73 Sector 89 |
Levered Free Cash Flow Margin % | 32.5 | Market 91 Sector 95 |
Unlevered Free Cash Flow Margin % | 34.4 | Market 91 Sector 95 |
Return on Assets % | 3.39 | Market 30 Sector 68 |
Return on Capital % | 3.81 | Market 20 Sector 64 |
Return on Equity % | 5.65 | Market 14 Sector 65 |
Return on Common Equity % | 5.65 | Market 14 Sector 65 |
Total Asset Turnover | 0.21 | Market 19 Sector 15 |