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The Duckhorn Portfolio 10K Form
Buy
87
NAPA
The Duckhorn Portfolio
Last Price:
10.98
Seasonality Move:
-0.87%
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NAPA Financial Statistics
Sales & Book Value
Annual Sales: | $405.48M |
---|---|
Cash Flow: | $-1.93M |
Price / Cash Flow: | 0 |
Annual Sales: | $8.65 |
Price / Book: | 1.28 |
Profitability
EPS (TTM): | 0.47000 |
---|---|
Net Income (TTM): | $56.01M |
Gross Margin: | $214.93M |
Return on Equity: | 5.18% |
Return on Assets: | 3.57% |
The Duckhorn Portfolio Earnings Forecast
Key The Duckhorn Portfolio Financial Ratios
- The Gross Profit Margin over the past 6 years for NAPA is 53.01%.
- The Selling, General & Administrative Expenses for NAPA have been equal to 29.61% of Gross Profit Margin.
- The Interest Expense is 32.32% of Operating Income.
- The Net Earning history of NAPA is 13.81% of Total Revenues.
- Per Share Earnings over the last 6 years have been positive in 3 years.
The Duckhorn Portfolio Stock Price Chart
Industry, Sector and Symbol
Stock Exchange: | NYSE |
---|---|
Industry: | Beverages |
Sector: | Consumer Staples |
Current Symbol: | NAPA |
Website: | duckhornportfolio.com |
Debt
Debt-to-Equity Ratio: | 0.24 |
---|---|
Current Ratio: | 8.05 |
Quick Ratio: | 1.11 |
Price-to-Earnings
Trailing P/E Ratio: | 24.49 |
---|---|
Forward P/E Ratio: | 14.98 |
NAPA Technical Analysis vs Fundamental Analysis
Buy
87
The Duckhorn Portfolio (NAPA)
is a Buy
Is The Duckhorn Portfolio a Buy or a Sell?
-
The Duckhorn Portfolio stock is rated a Buy
The current The Duckhorn Portfolio [NAPA] share price is $11.02. The Score for NAPA is 87, which is 74% above its historic median score of 50, and infers lower risk than normal.