Stock Analysis of LEVI ( Levi Strauss & Co. Class A )
STOCK RANK
The Stock Rank is a quick snapshot of a stock’s potential, based on key financial ratios in four areas:
Quality, Value, Growth, and Momentum. You can explore detailed insights below for each category.
Stock Rank
QUALITY
ROA4.12%
ROIC11.88%
Debt/Equity1.2
Current Ratio1.41
Operating Margin8.64%
VALUE
Price/Book3.6
Earnings Yield2.3%
EV/EBITDA9.45
Price/Sales1.09
Dividend Yield2.89%
GROWTH
Asset 1-Year Growth0.26%
EPS 1-Year Growth-56.13%
Revenue Average Growth (3-Year)12.23%
Revenue 1-Year Growth0.13%
EBITDA Average Growth (3-Year)53.35%
MOMENTUM
1-Week Return0.59%
1-Month Return-10.62%
3-Month Return-3.84%
6-Month Return-23.8%
12-Month Return22.49%
Technical Scores and Rating
Moving Average Score
Oscillator Score
Technical Rating
For more details on short-term price trend, check out technical analysis of LEVI
Discover additional signals and ratios for Quality, Value, Growth, and
Momentum. To integrate these factors into your own spreadsheets or software, access Signal DB here.
For building multi-factor portfolios, explore our Portfolio Toolbox
.
Disclaimer: The information provided here and on kavout.com site is for general informational purposes only. It does not constitute investment advice, financial advice, trading advice, or any other sort of advice. Kavout does not recommend that any investment decision be made based on this information. You are solely responsible for your own investment decisions. Please conduct your own research and consult with qualified financial advisors before making any investment. Kavout and its partners are participants in a number of affiliate advertising programs. As an Amazon Associate, Kavout or its partners earn from qualifying purchases from affiliate links. We also participate in other affiliate and advertising programs that provide a means for us to earn advertising fees by advertising and linking to third-party websites.