Profile
KDC PG UL CL KMB KVUE
Company Name Knowlton Development Corporation 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 - $373.53B $150.35B $74.51B $42.78B $40.18B
Employees 11.70K 108.00K 115.96K 34.00K 38.00K 22.00K
CEO - Jon R. Moeller Fernando Fernandez Mr. Noel R. Wallace Michael D. Hsu Thibaut Mongon
Ratings
KDC PG UL CL KMB KVUE
Quant Rating Score 3 3 3 3 2
Quant Rating Neutral Neutral Neutral Neutral Sell
Trading
KDC PG UL CL KMB KVUE
Last Close - $159.32 $61.17 $90.9 $128.92 $20.93
High 52 - $179.7 $65.59 $108.77 $148.35 $24.44
Low 52 - $157.66 $54.7 $85.68 $124.46 $17.7
Price vs. 52 Week High - -11.34 % -6.74 % -16.43 % -13.1 % -14.36 %
Price vs. 52 Week Low - 1.05 % 11.83 % 6.09 % 3.58 % 18.25 %
Total Return
KDC PG UL CL KMB KVUE
1 Month Return - -6.22 % -4.18 % -2.19 % -10.32 % -12.32 %
3 Month Return - -6.59 % 2.69 % -3.19 % -9.87 % -12.35 %
6 Month Return - -4.97 % 7.88 % -0.01 % -1.62 % -1.97 %
9 Month Return - -7.93 % -5.37 % -11.17 % -9.47 % -8.12 %
YTD Return - -4.97 % 7.88 % -0.01 % -1.62 % -1.97 %
1 Year Return - -2.09 % 11.83 % -4.86 % -6.46 % 16.6 %
3 Year Return - 0 % 0 % 0 % 0 % 0 %
5 Year Return - 0 % 0 % 0 % 0 % 0 %
Dividends
KDC PG UL CL KMB KVUE
Dividend Yield Percentage (TTM) - 2.56 % 3.25 % 2.2 % 3.85 % 3.92 %
Dividend Paid and Capex Coverage Ration (TTM) 0.06 % 1.39 % 1.57 % 1.71 % 1.44 % 0.95 %
Dividend Per Share (TTM) - 4.08 % 1.44 % 2.02 % 4.96 % 0.82 %
Payout Ratio (TTM) -655.96 % 63.04 % 75.19 % 62.17 % 66.33 % 147.82 %
Profitability
KDC PG UL CL KMB KVUE
Gross Profit Margin TTM 15.21 % 51.29 % 45.05 % 60.72 % 35.45 % 58.01 %
Return on Assets TTM -3.52 % 12.6 % 7.2 % 17.4 % 15.12 % 4.02 %
Return on Equity TTM -11.67 % 30.15 % 28.51 % 1022.77 % 226.04 % 10.42 %
Return on Capital Employed TTM -1.61 % 22.52 % 17.24 % 44.57 % 34.26 % 12.31 %
Net Income Per EBT TTM 90.57 % 79.4 % 64.76 % 73.49 % 85.47 % 73.03 %
EBT Per Ebit TTM 283.47 % 97.67 % 94.35 % 90.37 % 89.7 % 59.98 %
EBIT Per Revenue TTM -2.29 % 23.81 % 15.47 % 21.87 % 16.28 % 15.76 %
Cash Flow To Debt Ratio TTM 2.76 % 54.44 % 31.05 % 48.69 % 43.09 % 21.86 %
Receivables Turnover TTM 6.9 13.67 11.87 11.56 9.08 -
Payables Turnover TTM 7.07 2.82 3.26 4.35 3.54 2.76
Inventory Turnover TTM 6.86 5.52 6.45 3.69 6.68 3.83
Fixed Asset Turnover TTM 322.52 % 369.27 % 520.7 % - 263.07 % 794.08 %
Asset Turnover TTM 59.98 % 68.24 % 76.19 % 119.82 % 121.12 % 58.28 %
Operating Cash Flow Per Share TTM 28.39 7.92 3.82 4.92 9.41 1
Free Cash Flow Per Share TTM -28.39 6.4 3.12 4.24 7.21 0.76
Cash Per Share TTM 6479.94 % 388.38 % 305.83 % 135.99 % 169.68 % 55.22 %
Operating Cash Flow Sales Ratio TTM 2.41 % 22.14 % 15.67 % 20.18 % 15.81 % 12.48 %
Free Cash Flow Operating Cash Flow Ratio TTM -100 % 80.84 % 81.74 % 86.12 % 76.59 % 75.92 %
Cash Flow Coverage Ratios TTM 2.76 % 54.44 % 31.05 % 48.69 % 43.09 % 21.86 %
Price To Free Cash Flows Ratio TTM - 24.86 16.31 21.49 17.88 27.71
Price To Operating Cash Flows Ratio TTM - 20.12 13.55 18.67 13.7 20.97
Price Cash Flow Ratio TTM - 20.12 13.55 18.67 13.7 20.97
Income Statement (TTM)
KDC PG UL CL KMB KVUE
Revenue $2.14B $84.04B $60.76B $20.1B $20.06B $15.46B
Gross Profit $0.33B $43.19B $60.76B $12.16B $7.18B $8.96B
Gross Profit Ratio 15.21% 51.39% 100% 60.5% 35.8% 57.97%
EBITDA $0.08B $22.7B $13.01B $4.27B $3.98B $2.47B
Net Income $-0.13B $14.88B $5.74B $2.89B $2.55B $1.03B
EPS Diluted -69.08 6.02 2.29 3.51 7.55 0.54
Balance Sheet (MRQ)
KDC PG UL CL KMB KVUE
Long Term Debt $1.83B $25.94B $24.45B $7.29B $6.88B $7.13B
Total Liabilities $2.64B $71.81B $57.2B $15.5B $15.57B $15.93B
Total Equity $0.94B $50.56B $22.56B $0.54B $0.98B $9.67B
Total Investments $0B $15.53B $2.11B $0B $0.31B $0B
Total Debt $1.87B $33.37B $30.66B $8.51B $7.57B $8.72B
Total Assets $3.57B $122.37B $79.75B $16.05B $16.55B $25.6B
Cash Flow Statement (TTM)
KDC PG UL CL KMB KVUE
Net Income $-0.13B $14.88B $5.74B $3.05B $2.58B $1.03B
Inventory $-0.04B $-0.07B $-0.2B $-0.1B $0B $0.18B
Dividends Paid $-0.83B $-9.31B $-4.32B $-1.79B $-1.63B $-1.55B
Operating Cash Flow $0.05B $19.85B $9.52B $4.11B $3.23B $1.77B
Capital Expenditure $-0.1B $-3.32B $-1.74B $-0.56B $-0.72B $-0.43B
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ETFs With Exposure to KDC
Ticker ETF Name Weight Percentage Price
FM iShares MSCI Frontier and Select EM ETF 0.01542 27.19
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