GOLF
Acushnet Holdings Corp.
Ten-year history of valuation, safety, growth and profitability, with percentile bands against GOLFβs own range.
Snapshot
P/E
14.2Γ
P98Yield
0.8%
P31FCF payout
31.7%
P10Net debt / EBITDA
5.38
P48DGR 5y
8.9%
P16ROIC
6.4%
P100Value
Is the share cheap or dear by its own history?
GOLF is historically expensive. P/E at P98 (14.2x); yield at P31 (0.8%).
Safety
Can the business comfortably cover the dividend?
FCF payout sits at P10 (32%) of its history. Leverage (Net Debt/EBITDA) at P48 (5.38); interest cover at P33 (14.35).
Growth
Is the dividend and the cash behind it still growing?
5-year dividend growth at P16 (9%) of its 10y range. FCF growth P35 (90%); ROIC P100 (6%).
Profitability
Is the engine getting better or worse at making money?
Gross margin at P57 (49%) of its history. Operating margin P74 (14%); net margin P53 (8%).
Forecast your income with the GOLF dividend calculator
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Inspect surfaces history; it does not predict the future. Nothing here is financial advice or an instruction to buy or sell. Always do your own research. See the Terms of Service.