Revlon Stock Analysis, Valuation (NYSE:REV)

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$17.6 $0.2 (1.15%) REV stock closing price May 25, 2018 (Closing)
Watch Robo Advisor Video of REV Stock Analysis
Updated on : May 24, 2018
previous close
REV 17.4 (0%)
S&P 500 2727.8 (0%)
Closing Price On: May 24, 2018
stock rating
RATING: ★★★★★★★★★★ (0/5)
Industry :
Cosmetics and Toiletries
Sector :
Consumer Staples
5 Quarter Revenue
Revenue Growth
Compared to the industry
Long Term Growth
5 Year CAGR:
Operating Profit
Operating Margin:
Sector Average:
5 Quarter Net Profit
Net Margins
LTM Margin
Cash Flow
Operating cash flow:
Net Income:
Long Term Growth
PS Valuation
Operating Margins
Net Margins
FCF Margin
PE Valuation
Rating: ★★★★★★★★★★ (0/5)
Relative Valuation
Industry PS :
Sector:   Consumer Staples.   *PE adjusted for one time items.
Other Metrics
Return on Invested Capital:
Free Cash Flow Margin:
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Revlon Stock Analysis

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View the Revlon stock analysis video on Amigobulls. This video puts forward our latest analysis highlighting the pros and cons for REV stock.

Note: Amigobulls stock rating is our opinion based on the historical performance of the company's fundamentals. It is not indicative of the future performance of the stock.

Revlon Inc Stock Rating 1.4/5

Amigobulls REV stock analysis takes into account various financial ratios like relative valuation, Revlon revenue, growth and return on equity based on latest quarter 2018 Q1 financial statements. We also check Revlon dividend performance. We also use relative valuation metrics like PE ratio and price to sales ratio for Revlon valuation analysis. Revlon stock rating encapsulates our opinion about the company based on the fundamentals.

Should you buy REV stock?

  • The company saw a significant growth in revenue with a 5 year CAGR of 13.3%.
  • When compared with the Cosmetics and Toiletries industry average PS ratio of 1.6, the price-to-sales ratio of 0.3 for REV stock is attractive.

Should you sell REV stock?

  • Revlon registered a negative operating margin of -1.6% (average) over the Trailing Twelve Months (TTM).
  • Revlon posted an average Net loss of -8.9% in the last twelve months.
  • The lack of profits renders the PE ratio useless for REV stock.
  • The company has a negative Return on Invested Capital of -1.2%, which is a red flag.
  • The company has negative Free Cash Flows (FCF), with a negative FCF margin of -19.8%.

Comments on this video and Revlon stock

Amigobulls Revlon stock analysis helps investors in understanding how the company's fundamentals have performed in the last few quarters. Company's fundamentals remain one of the key driver of REV stock and helps investors in making good buy and sell decision.

Revlon revenue growth and profit or net income are the main underlying forces which could detremine the direction of the share price. Technical analysis comes in handy to check whether the market sentiment is in line with the fundamental picture of the company.