Profile
BTB MCD SBUX CMG YUM DRI
Company Name Bit Brother Limited McDonald's Corporation Starbucks Corporation Chipotle Mexican Grill, Inc. Yum! Brands, Inc. Darden Restaurants, Inc.
Sector Consumer Cyclical Consumer Cyclical Consumer Cyclical Consumer Cyclical Consumer Cyclical Consumer Cyclical
Industry Restaurants Restaurants Restaurants Restaurants Restaurants Restaurants
Market Cap $6.22M $218.45B $128.39B $73.85B $41.06B $23.48B
Employees 0.07K 100.00K 361.00K 130.50K 35.00K 191.11K
CEO Mr. Xianlong Wu Mr. Christopher J. Kempczinski Mr. Brian R. Niccol Mr. Scott Boatwright Mr. David W. Gibbs Mr. Ricardo Cardenas CPA
Ratings
BTB MCD SBUX CMG YUM DRI
Quant Rating Score 2 1 2 3 2 3
Quant Rating Sell Strong Sell Sell Neutral Sell Neutral
Trading
BTB MCD SBUX CMG YUM DRI
Last Close $0.6 $304.81 $111.75 $51.51 $148.75 $191.21
High 52 $0.6 $316.56 $113.34 $3427.61 $150.96 $200.43
Low 52 $0.6 $245.82 $72.5 $49.83 $123.25 $138.06
Price vs. 52 Week High 0 % -3.71 % -1.4 % -98.5 % -1.46 % -4.6 %
Price vs. 52 Week Low 0 % 24 % 54.14 % 3.37 % 20.69 % 38.5 %
Total Return
BTB MCD SBUX CMG YUM DRI
1 Month Return 0 % 8.34 % 14.35 % -7.85 % 17.85 % 2.99 %
3 Month Return 0 % 5.01 % 9.02 % -16.93 % 9.97 % 14.03 %
6 Month Return 0 % 5.39 % 20.9 % -3.63 % 8.77 % 24.24 %
9 Month Return 0 % 14.69 % 38.44 % -98.37 % 6.91 % 28.58 %
YTD Return 0 % 5.15 % 22.47 % -14.58 % 10.88 % 2.42 %
1 Year Return 0 % 3 % 16.67 % -98.04 % 8.32 % 13.5 %
3 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
5 Year Return 0 % 0 % 0 % 0 % 0 % 0 %
Dividends
BTB MCD SBUX CMG YUM DRI
Dividend Yield Percentage (TTM) - 2.22 % 2.09 % - 1.82 % 2.75 %
Dividend Paid and Capex Coverage Ration (TTM) - 1.23 % 1.05 % 3.55 % 1.64 % 1.76 %
Dividend Per Share (TTM) - 6.78 % 2.36 % - 2.68 % 5.51 %
Payout Ratio (TTM) - 58.5 % 74.74 % - 48.17 % 61.65 %
Profitability
BTB MCD SBUX CMG YUM DRI
Gross Profit Margin TTM 66.96 % 26.05 % 36.49 % 48.57 % 31.49 %
Return on Assets TTM 14.64 % 11.03 % 16.67 % 23.62 % 8.33 %
Return on Equity TTM -168.33 % -44.93 % 42.78 % -19.74 % 48.31 %
Return on Capital Employed TTM 23.76 % 22.76 % 24.19 % 44.47 % 13.43 %
Net Income Per EBT TTM 83.7 % 76.25 % 76.32 % 83.12 % 87.75 %
EBT Per Ebit TTM 82.9 % 91.43 % 103.42 % 78.26 % 87.51 %
EBIT Per Revenue TTM 45.72 % 13.96 % 17.18 % 32.48 % 11.73 %
Cash Flow To Debt Ratio TTM 17.42 % 22.36 % 46.36 % 14.55 % 26.27 %
Receivables Turnover TTM 10.54 29.12 78.59 10.2 148.83
Payables Turnover TTM 9.07 15.04 34.1 3.26 19.42
Inventory Turnover TTM 158.57 15.44 146.81 - 24.95
Fixed Asset Turnover TTM 65.78 % 200.36 % 177.05 % 555.62 % 314.8 %
Asset Turnover TTM 46.14 % 113.34 % 122.92 % 111.79 % 92.49 %
Operating Cash Flow Per Share TTM 12.98 5.1 1.55 5.78 14.16
Free Cash Flow Per Share TTM 9.18 2.56 1.11 4.87 11.6
Cash Per Share TTM 170.36 % 348.74 % 104.52 % 194.33 % 184.94 %
Operating Cash Flow Sales Ratio TTM 35.89 % 16 % 18.61 % 22.55 % 14.37 %
Free Cash Flow Operating Cash Flow Ratio TTM 70.71 % 50.3 % 71.8 % 84.22 % 81.89 %
Cash Flow Coverage Ratios TTM 17.42 % 22.36 % 46.36 % 14.55 % 26.27 %
Price To Free Cash Flows Ratio TTM 33.21 44.13 48.86 29.93 17.23
Price To Operating Cash Flows Ratio TTM 23.48 22.18 35.24 25.47 14.15
Price Cash Flow Ratio TTM 23.48 22.18 35.24 25.47 14.15
Income Statement (TTM)
BTB MCD SBUX CMG YUM DRI
Revenue $25.49B $36.18B $11.31B $7.55B $11.39B
Gross Profit $14.56B $9.71B $3.02B $7.55B $2.41B
Gross Profit Ratio 57.12% 26.84% 70.36% 100% 21.16%
EBITDA $13.86B $7.12B $2.32B $2.4B $1.78B
Net Income $8.47B $3.76B $1.53B $1.49B $1.03B
EPS Diluted 11.56 3.31 1.11 5.2 8.51
Balance Sheet (MRQ)
BTB MCD SBUX CMG YUM DRI
Long Term Debt $50.21B $23.09B $4.26B $11.31B $5.08B
Total Liabilities $60.85B $38.78B $5.55B $14.38B $9.08B
Total Equity $-4.71B $-7.44B $3.66B $-7.65B $2.24B
Total Investments $1.08B $1B $1.54B $0B $0.92B
Total Debt $53.09B $25.8B $4.54B $11.33B $5.43B
Total Assets $56.15B $31.34B $9.2B $6.73B $11.32B
Cash Flow Statement (TTM)
BTB MCD SBUX CMG YUM DRI
Net Income $8.47B $3.76B $1.53B $1.49B $1.03B
Inventory $0.02B $0.04B $-0.01B $0B $0.01B
Dividends Paid $-4.53B $-2.59B $0B $-0.75B $-0.63B
Operating Cash Flow $9.61B $6.1B $2.11B $1.69B $1.62B
Capital Expenditure $-2.36B $-2.78B $-0.59B $0B $-0.63B
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