Profile
BRSH PG UL CL KMB KVUE
Company Name Bruush Oral Care Inc. The Procter & Gamble Company Unilever PLC Colgate-Palmolive Company Kimberly-Clark Corporation Kenvue Inc.
Sector Consumer Defensive Consumer Defensive Consumer Defensive Consumer Defensive Consumer Defensive Consumer Defensive
Industry Household & Personal Products Household & Personal Products Household & Personal Products Household & Personal Products Household & Personal Products Household & Personal Products
Market Cap $8.68M $374.80B $149.15B $74.51B $42.44B $40.09B
Employees 0.01K 108.00K 115.96K 34.00K 38.00K 22.00K
CEO Mr. Aneil Singh Manhas Jon R. Moeller Fernando Fernandez Mr. Noel R. Wallace Michael D. Hsu Thibaut Mongon
Ratings
BRSH PG UL CL KMB KVUE
Quant Rating Score 2 3 3 3 3 2
Quant Rating Sell Neutral Neutral Neutral Neutral Sell
Trading
BRSH PG UL CL KMB KVUE
Last Close $0.086 $159.86 $60.92 $88.71 $127.89 $20.88
High 52 $0.09 $179.7 $65.59 $108.77 $148.35 $24.44
Low 52 $0.09 $157.66 $54.7 $85.68 $124.46 $17.7
Price vs. 52 Week High -4.44 % -11.04 % -7.12 % -18.44 % -13.79 % -14.57 %
Price vs. 52 Week Low -4.44 % 1.4 % 11.37 % 3.54 % 2.76 % 17.97 %
Total Return
BRSH PG UL CL KMB KVUE
1 Month Return 0 % -5.9 % -4.57 % -4.55 % -11.04 % -12.53 %
3 Month Return 0 % -4.86 % 2.94 % -4.43 % -9.11 % -11.9 %
6 Month Return 0 % -4.33 % 7.33 % -2.29 % -2.09 % -1.42 %
9 Month Return 0 % -7.7 % -6.22 % -14.55 % -10.11 % -9.73 %
YTD Return 0 % -4.65 % 7.44 % -2.42 % -2.4 % -2.2 %
1 Year Return 0 % -3.07 % 10.78 % -8.58 % -7.46 % 14.85 %
3 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
5 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
Dividends
BRSH PG UL CL KMB KVUE
Dividend Yield Percentage (TTM) - 2.55 % 2.61 % 2.2 % 3.88 % 3.93 %
Dividend Paid and Capex Coverage Ration (TTM) -6165.9 % 1.39 % 1.57 % 1.71 % 1.44 % 0.95 %
Dividend Per Share (TTM) - 4.08 % 1.36 % 2.02 % 4.96 % 0.82 %
Payout Ratio (TTM) - 63.04 % 75.19 % 62.17 % 66.33 % 147.82 %
Growth
BRSH PG UL CL KMB KVUE
Asset Growth 13.42 % 1.28 % 5.96 % -2.12 % -4.6 % -8.08 %
Gross Profit Growth 37.51 % 10.05 % 141.35 % 7.37 % 2.1 % 3.66 %
Revenue Growth 0.45 % 2.48 % 1.94 % 3.31 % -1.83 % 0.07 %
Revenue 3 Year 1841.45 % 17.62 % 20.43 % 19.24 % 3.24 % 1.27 %
Revenue 5 Year 1841.45 % 31.71 % 22.5 % 34.57 % 10.82 % 6.43 %
Revenue 10 Year 1841.45 % 32.99 % 44.48 % 30.2 % 12.98 % 6.43 %
EBIT Growth 14.07 % 3.02 % 11.74 % 15.47 % 38.16 % -27.55 %
Net Income Growth 43.4 % 1.54 % -11.45 % 25.61 % 44.27 % -38.1 %
Net Income 3 Yeari Growth Per Share -252.56 % 10.8 % -1.29 % 37.83 % 40.39 % -51.11 %
Net Income 5 Yeari Growth Per Share -252.56 % 305.02 % 7.01 % 28.23 % 20.27 % -29.2 %
Net Income 10 Yeari Growth Per Share -252.56 % 50.46 % 27.93 % 48.31 % 85.29 % -29.2 %
Operating Income Growth -91.81 % 2.27 % -3.67 % 7.13 % 36.95 % -26.71 %
Operating Cash Flow Growth (CFG) -1406860.62 % 17.79 % 0.99 % 9.67 % -8.7 % -44.16 %
Operating 3 Year CFG -1219.52 % 15.08 % 24.12 % 27.64 % 18.54 % 422.44 %
Operating 5 Year CFG -1219.52 % 38.12 % 23.01 % 37.73 % 20.49 % -41.8 %
Operating 10 Year CFG -1219.52 % 67.41 % 97.78 % 39.36 % 26.29 % -41.8 %
EPS Growth 53.72 % 1.81 % -10.16 % 26.98 % 45.49 % -40 %
EPS Diluted Growth 53.67 % 2.03 % -10.55 % 26.71 % 44.91 % -37.93 %
Book Value Per Share 70.92 % 7.79 % 9.74 % -42.48 % -8.3 % -16.74 %
Share Holder 3 Year Equity Growth Per Share -2625.72 % 15.51 % 21.47 % -64.03 % 63.53 % -53.25 %
Share Holder 5 Year Equity Growth Per Share -2625.72 % 13.03 % 58.79 % 90.37 % 2694.64 % -
Share Holder 10 Year Equity Growth Per Share -2625.72 % -14.46 % 68.65 % -79.28 % 28.02 % -
Dividend Per Share Growth - 3.83 % 0.01 % 3.5 % 2.97 % -89.7 %
Dividend 3 Year Growth Per Share - 20.06 % -2.02 % 22.19 % 7.46 % -
Dividend 5 Year Growth Per Share - 31.74 % 3.85 % 27.6 % 17.86 % -
Dividend 10 Year Growth Per Share - 58.64 % 55.98 % 38.46 % 44 % -
Debt Growth -100 % -5.8 % 7.21 % -6.09 % -6.66 % 3.47 %
Free Cash Flow Growth -1394206.66 % 19.86 % -1.8 % 16.64 % -9.47 % -50.54 %
Updated On 31 Oct 2022 30 Jun 2024 31 Dec 2024 31 Dec 2024 31 Dec 2024 29 Dec 2024
Profitability
BRSH PG UL CL KMB KVUE
Gross Profit Margin TTM 68.76 % 51.29 % 45.05 % 60.72 % 35.45 % 58.01 %
Return on Assets TTM -266.82 % 12.6 % 7.2 % 17.4 % 15.12 % 4.02 %
Return on Equity TTM 118.9 % 30.15 % 28.51 % 1022.77 % 226.04 % 10.42 %
Return on Capital Employed TTM 749.15 % 22.52 % 17.24 % 44.57 % 34.26 % 12.31 %
Net Income Per EBT TTM 36.26 % 79.4 % 64.76 % 73.49 % 85.47 % 73.03 %
EBT Per Ebit TTM 83.41 % 97.67 % 94.35 % 90.37 % 89.7 % 59.98 %
EBIT Per Revenue TTM -399.21 % 23.81 % 15.47 % 21.87 % 16.28 % 15.76 %
Cash Flow To Debt Ratio TTM - 54.44 % 31.05 % 48.69 % 43.09 % 21.86 %
Receivables Turnover TTM 15.02 13.67 11.87 11.56 9.08 -
Payables Turnover TTM 0.9 2.82 3.26 4.35 3.54 2.76
Inventory Turnover TTM 3.41 5.52 6.45 3.69 6.68 3.83
Fixed Asset Turnover TTM 46848.94 % 369.27 % 520.7 % - 263.07 % 794.08 %
Asset Turnover TTM 221.01 % 68.24 % 76.19 % 119.82 % 121.12 % 58.28 %
Operating Cash Flow Per Share TTM -65.56 7.92 3.82 4.92 9.41 1
Free Cash Flow Per Share TTM -65.57 6.4 3.12 4.24 7.21 0.76
Cash Per Share TTM 47.61 % 388.38 % 305.83 % 135.99 % 169.68 % 55.22 %
Operating Cash Flow Sales Ratio TTM -478.29 % 22.14 % 15.67 % 20.18 % 15.81 % 12.48 %
Free Cash Flow Operating Cash Flow Ratio TTM 100.02 % 80.84 % 81.74 % 86.12 % 76.59 % 75.92 %
Cash Flow Coverage Ratios TTM - 54.44 % 31.05 % 48.69 % 43.09 % 21.86 %
Price To Free Cash Flows Ratio TTM -0.69 24.94 16.4 21.49 17.74 27.65
Price To Operating Cash Flows Ratio TTM - 20.19 13.63 18.67 13.59 20.92
Price Cash Flow Ratio TTM - 20.19 13.63 18.67 13.59 20.92
Income Statement (TTM)
BRSH PG UL CL KMB KVUE
Revenue $0B $84.04B $60.76B $20.1B $20.06B $15.46B
Gross Profit $0B $43.19B $60.76B $12.16B $7.18B $8.96B
Gross Profit Ratio 68.76% 51.39% 100% 60.5% 35.8% 57.97%
EBITDA $-0.01B $22.7B $13.01B $4.27B $3.98B $2.47B
Net Income $-0B $14.88B $5.74B $2.89B $2.55B $1.03B
EPS Diluted -16.55 6.02 2.29 3.51 7.55 0.54
Balance Sheet (MRQ)
BRSH PG UL CL KMB KVUE
Long Term Debt $0B $25.94B $24.45B $7.29B $6.88B $7.13B
Total Liabilities $0B $71.81B $57.2B $15.5B $15.57B $15.93B
Total Equity $-0B $50.56B $22.56B $0.54B $0.98B $9.67B
Total Investments $0B $15.53B $2.11B $0B $0.31B $0B
Total Debt $0B $33.37B $30.66B $8.51B $7.57B $8.72B
Total Assets $0B $122.37B $79.75B $16.05B $16.55B $25.6B
Cash Flow Statement (TTM)
BRSH PG UL CL KMB KVUE
Net Income $-0.01B $14.88B $5.74B $3.05B $2.58B $1.03B
Inventory $0B $-0.07B $-0.2B $-0.1B $0B $0.18B
Dividends Paid $0B $-9.31B $-4.32B $-1.79B $-1.63B $-1.55B
Operating Cash Flow $-0.01B $19.85B $9.52B $4.11B $3.23B $1.77B
Capital Expenditure $-0B $-3.32B $-1.74B $-0.56B $-0.72B $-0.43B
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