Home » Vector Group Stock – is a Buy, Sell or Hold?

Vector Group Stock – is a Buy, Sell or Hold?

by Jira

The P/E ratio measures how cheaply valued a company’s stock price is by dividing the current stock price to its earnings-per-share (EPS). It indicates the dollar amount an investor can expect to invest in a company to receive $1 of that company’s earnings. Vector Group P/E ratio is 7.05. it has increased by a third in comparison to the same period last year. this metric is one of the most popular because it easily summarizes the status of the company. however, in order to make an informed decision, more metrics should be analysed. Let’s dive into Vector Group’s P/E ratio

What is Vector Group P/E Ratio?

The P/E ratio of Vector Group is 7.05, which represents a 21.55% increase over the same period last year. their average P/E ratio is 9.36 and their average for five years is 19.7.

What is Vector Group Net EPS?

Vector Group’s net earnings for the most recent quarter was 1.44 US dollars, which represents a 13.39% increase over the same period last year.

Who are Vector Group Competitors?

Based on Jika.io AI model, Golden Tobacco, Turning Point Brands, Universal, 22nd Century Group are considered to be Vector Group’s competitors because the companies operate within the same industry as Vector Group and are targeting the same customer base. in addition, competitors typically share a similar market capitalization as Vector Group.

Who is Vector Group’s Biggest competitor?

Vector Group’s biggest competitor is Golden Tobacco, based on the Jika.io AI model. it has a similar market capitalization to Vector Group within the industry, it dominates a similar share of the market as Vector Group, and it provides and markets very similar services.

What industry is Vector Group in?

Vector Group is part of the tobacco industry and the consumer protection sector.

Vector Group vs Golden Tobacco

Market Cap: Vector Group’s Market Cap of 1574170112 is higher than Golden Tobacco Market Cap of 1442956416.
Average Volume: Vector Group’s Average Volume of 836026.0 is higher than Golden Tobacco Average Volume of 68668.0.
Beta: Vector Group’s Beta of 0.94 is higher than Golden Tobacco Beta of 0.54.
Revenue: Vector Group’s Revenue of 1.221B is lower than Golden Tobacco Revenue of 367.993M.
Net Income: Vector Group’s Net Income of 219.463M is lower than Golden Tobacco Net Income of 76.296M.
Gross Profit: Vector Group’s Gross Profit of 451.158M is higher than Golden Tobacco Gross Profit of 194.685M.
Ebitda: Vector Group’s Ebitda of 394.998M is higher than Golden Tobacco Ebitda of 123.422M.
P/E Ratio: Vector Group’s P/E Ratio of 10.06 is lower than Golden Tobacco P/E Ratio of 20.93.
P/S Ratio: Vector Group’s P/S Ratio of 0.77 is lower than Golden Tobacco P/S Ratio of 5.18.
P/B Ratio: Vector Group’s P/B Ratio of -1.84 is higher than Golden Tobacco P/B Ratio of -0.7.
P/FCF Ratio: Vector Group’s P/FCF Ratio of -94.73 is lower than Golden Tobacco P/FCF Ratio of 4.17.
ROE: Vector Group’s ROE of -0.31 is higher than Golden Tobacco ROE of -0.03.
ROA: Vector Group’s ROA of 0.24 is higher than Golden Tobacco ROA of 0.05.
Return On Capital Employed: Vector Group’s Return On Capital Employed of 0.44 is higher than Golden Tobacco Return On Capital Employed of -0.03.
Gross Profit Margin: Vector Group’s Gross Profit Margin of 0.32 is lower than Golden Tobacco Gross Profit Margin of 0.62.
Assets (Total): Vector Group’s Assets (Total) of 871.087M is higher than Golden Tobacco Assets (Total) of 1.486B.
Debt (Total): Vector Group’s Debt (Total) of 1.411B is lower than Golden Tobacco Debt (Total) of 20.0M.

Vector Group vs Turning Point Brands

Market Cap: Vector Group’s Market Cap of 1574170112 is higher than Turning Point Brands Market Cap of 495305088.
Average Volume: Vector Group’s Average Volume of 836026.0 is higher than Turning Point Brands Average Volume of 204790.0.
Beta: Vector Group’s Beta of 0.94 is higher than Turning Point Brands Beta of 0.53.
Revenue: Vector Group’s Revenue of 1.221B is lower than Turning Point Brands Revenue of 445.471M.
Net Income: Vector Group’s Net Income of 219.463M is lower than Turning Point Brands Net Income of 52.059M.
Gross Profit: Vector Group’s Gross Profit of 451.158M is higher than Turning Point Brands Gross Profit of 217.834M.
Ebitda: Vector Group’s Ebitda of 394.998M is lower than Turning Point Brands Ebitda of 91.611M.
P/E Ratio: Vector Group’s P/E Ratio of 10.06 is lower than Turning Point Brands P/E Ratio of 11.33.
P/S Ratio: Vector Group’s P/S Ratio of 0.77 is lower than Turning Point Brands P/S Ratio of 1.16.
P/B Ratio: Vector Group’s P/B Ratio of -1.84 is lower than Turning Point Brands P/B Ratio of 3.94.
P/FCF Ratio: Vector Group’s P/FCF Ratio of -94.73 is lower than Turning Point Brands P/FCF Ratio of 10.44.
ROE: Vector Group’s ROE of -0.31 is lower than Turning Point Brands ROE of 0.39.
ROA: Vector Group’s ROA of 0.24 is higher than Turning Point Brands ROA of 0.08.
Return On Capital Employed: Vector Group’s Return On Capital Employed of 0.44 is higher than Turning Point Brands Return On Capital Employed of 0.15.
Gross Profit Margin: Vector Group’s Gross Profit Margin of 0.32 is lower than Turning Point Brands Gross Profit Margin of 0.49.
Assets (Total): Vector Group’s Assets (Total) of 871.087M is higher than Turning Point Brands Assets (Total) of 601.56M.

Vector Group vs Universal

Market Cap: Vector Group’s Market Cap of 1574170112 is higher than Universal Market Cap of 1462623104.
Average Volume: Vector Group’s Average Volume of 836026.0 is higher than Universal Average Volume of 130933.0.
Beta: Vector Group’s Beta of 0.94 is higher than Universal Beta of 0.62.
Revenue: Vector Group’s Revenue of 1.221B is higher than Universal Revenue of 0.0.
Net Income: Vector Group’s Net Income of 219.463M is lower than Universal Net Income of 86.577M.
Gross Profit: Vector Group’s Gross Profit of 451.158M is higher than Universal Gross Profit of -1.695B.
Ebitda: Vector Group’s Ebitda of 394.998M is higher than Universal Ebitda of 172.94M.
P/E Ratio: Vector Group’s P/E Ratio of 10.06 is lower than Universal P/E Ratio of 17.14.
P/S Ratio: Vector Group’s P/S Ratio of 0.77 is lower than Universal P/S Ratio of 1.01.
P/B Ratio: Vector Group’s P/B Ratio of -1.84 is lower than Universal P/B Ratio of 1.1.
P/FCF Ratio: Vector Group’s P/FCF Ratio of -94.73 is higher than Universal P/FCF Ratio of -177.19.
ROE: Vector Group’s ROE of -0.31 is lower than Universal ROE of 0.07.
ROA: Vector Group’s ROA of 0.24 is higher than Universal ROA of 0.03.
Return On Capital Employed: Vector Group’s Return On Capital Employed of 0.44 is higher than Universal Return On Capital Employed of 0.08.
Gross Profit Margin: Vector Group’s Gross Profit Margin of 0.32 is higher than Universal Gross Profit Margin of -0.16.
Assets (Total): Vector Group’s Assets (Total) of 871.087M is higher than Universal Assets (Total) of 2.586B.
Debt (Total): Vector Group’s Debt (Total) of 1.411B is lower than Universal Debt (Total) of 741.106M.
Shareholders Equity: Vector Group’s Shareholders Equity of -841.553M is lower than Universal Shareholders Equity of 1.341B.

Vector Group vs 22nd Century Group

Market Cap: Vector Group’s Market Cap of 1574170112 is higher than 22nd Century Group Market Cap of 442258848.
Average Volume: Vector Group’s Average Volume of 836026.0 is higher than 22nd Century Group Average Volume of 2.049M.
Beta: Vector Group’s Beta of 0.94 is lower than 22nd Century Group Beta of 2.02.
Revenue: Vector Group’s Revenue of 1.221B is lower than 22nd Century Group Revenue of 30.948M.
Net Income: Vector Group’s Net Income of 219.463M is higher than 22nd Century Group Net Income of -32.609M.
Gross Profit: Vector Group’s Gross Profit of 451.158M is higher than 22nd Century Group Gross Profit of 2.069M.
Ebitda: Vector Group’s Ebitda of 394.998M is higher than 22nd Century Group Ebitda of -31.001M.
P/E Ratio: Vector Group’s P/E Ratio of 10.06 is higher than 22nd Century Group P/E Ratio of -10.01.
P/S Ratio: Vector Group’s P/S Ratio of 0.77 is lower than 22nd Century Group P/S Ratio of 11.01.
P/B Ratio: Vector Group’s P/B Ratio of -1.84 is lower than 22nd Century Group P/B Ratio of 6.3.
P/FCF Ratio: Vector Group’s P/FCF Ratio of -94.73 is higher than 22nd Century Group P/FCF Ratio of -12.97.
ROE: Vector Group’s ROE of -0.31 is lower than 22nd Century Group ROE of -0.5.
ROA: Vector Group’s ROA of 0.24 is higher than 22nd Century Group ROA of -0.55.
Return On Capital Employed: Vector Group’s Return On Capital Employed of 0.44 is higher than 22nd Century Group Return On Capital Employed of -0.53.
Gross Profit Margin: Vector Group’s Gross Profit Margin of 0.32 is higher than 22nd Century Group Gross Profit Margin of 0.06.
Assets (Total): Vector Group’s Assets (Total) of 871.087M is higher than 22nd Century Group Assets (Total) of 75.954M.

About Vector Group

Vector Group Ltd., through its subsidiaries, manufactures and sells cigarettes in the United States. it operates in two segments, tobacco and real estate. the company produces cigarettes in 100 combinations under the EAGLE 20, Pyramid, Montego, Grand Prix, Liggett Select, Eve and USA brands, as well as various partner and private label brands. it sells and sells cigarettes to wholesalers and distributors of tobacco and convenience products, as well as grocery, drug and convenience stores. the company also deals in real estate investment. the company was previously known as Brooke Group Ltd. and changed its name to Vector Group Ltd. in May 2000. Vector Group was founded in 1873 and has its headquarters in Miami, Florida.

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