International Business Machines Corporation
NYSE:IBM
$243.21
Relative Volume: 27.32%
Updated: 2:41:40 PM
-6.77 (-2.71%)
Key Statistics
Synsense Rating
Valuation | |
Market Capitalization <b>Market Capitalization</b> refers to how much a company is worth as determined by the stock market. | $225.52B |
Enterprise Value Multiple <b>Enterprise Value Multiple (EV/EBITDA)</b> is a ratio that compares a company’s Enterprise Value (EV) to its Earnings Before Interest, Taxes, Depreciation & Amortization (EBITDA). The EV/EBITDA ratio is commonly used as a valuation metric to compare the relative value of different businesses. | 22.17 |
Price/Earnings The <b>Price-to-Earnings Ratio (P/E Ratio)</b> is the ratio for valuing a company that measures its current share price relative to its per-share earnings (EPS). | 37.39 |
PEG The <b>PEG Ratio</b> is a company's Price/Earnings ratio divided by its earnings growth rate over a period of time. The PEG ratio adjusts the traditional P/E ratio by taking into account the growth rate in earnings that are expected in the future. | -5.92 |
Price/Sales <b>Price-to-Sales Ratio</b> in the market capitalization divided by last year's total revenue. The lower the P/S ratio, the more attractive the investment. | 3.59 |
Price/Book <b>Price-to-Book (P/B) Ratio</b> is calculated by dividing a company's stock price by its book value per share, which is defined as its total assets minus any liabilities. A low P/B ratio indicates a company may be undervalued. | 8.25 |
Price/Operating Cashflow <b>Price-to-Operating Cashflow</b> is a ratio that measures a company's current market price relative to it's operating cashflow. Negative ratios may indicate a lack of cash for continuing operations. | 16.75 |
Price/Free Cashflow <b>Price-to-Free Cashflow</b> measures a company's current market price relative to owner earnings. This number is used as the first year in a discounted cashflow model. | 19.16 |
Interest Coverage <b>Interest Coverage</b> is a debt and profitability ratio used to determine how easily a company can pay interest on its outstanding debt. An interest coverage ratio of at least two (2) is considered the minimum acceptable amount for a company that has solid, consistent revenues. Analysts prefer to see a coverage ratio of three (3) or better. | 2.07 |
Financials | |
Revenue The total sales of the company in the trailing 12-months. | $62.75B |
EBITDA Earnings Before Interest, Taxes, Depreciation, and Amortization (EBITDA). | $12.18B |
Earnings/Share | $6.42 |
Operating Margin <b>Operating Margin</b> is a company's total revenue minus its total operating expenses, divided by total revenue. | 5.64% |
Net Profit Margin <b>Profit Margin</b> is a company's total revenue minus its total operating expenses, depreciation, amortization, and taxes, divided by it's total revenue. | 9.60% |
Return on Assets <b>Return on Assets (ROA)</b> is a profitability ratio that provides how much profit a company is able to generate from its assets. The higher the ratio the better. ROA does not take into account a company’s debt, while return on equity (ROE) does, so if a company carries no debt, ROA will equal ROE. | 4.39% |
Return on Equity <b>Return on Equity (ROE)</b> is a profitability ratio that provides how much profit a company is able to generate from capital invested by stockholders. Generally, the higher the ratio the better, but if a company a high Debt/Equity Ratio, ROE will be artificially inflated. | 24.33% |
Return on Capital <b>Return on Capital (ROC)</b> measures a company's net income relative to the sum of its debt and equity value. It is effectively the amount of money a company makes that is above the average cost it pays for its debt and equity capital. The higher the ratio the better. | 3.40% |
Debt / Equity <b>Debt-to-Equity Ratio</b> is a leverage ratio that calculates the weight of total debt and financial liabilities against total shareholders’ equity. This ratio highlights how a company’s capital structure is tilted either toward debt or equity financing. A high debt/equity is a riskier capital structure while a negative debt/equity indicates negative stockholder equity. | 2.14 |
Quick Ratio The <b>Quick Ratio</b> measures a company's capacity to pay its current liabilities without needing to sell its inventory or obtain additional financing. | 1.00 |
Current Ratio The <b>Current Ratio</b> is a liquidity ratio that measures a company's ability to cover its short-term obligations with its current assets, including sales of inventory. | 1.04 |
Performance | |
Average Volume Average shares traded daily. Low volume stocks may be difficult to enter and exit positions due to the lack of liquidity. | 4.82M |
52 Week High Highest market price reached in the last year. | $266.45 |
52 Week Low Lowest market price reached in the last year. | $162.62 |
Beta <b>Beta</b> is a measure of a stock's or portfolio’s volatility relative to the market as a whole. A stock or portfolio whose beta is greater than 1.00 will experience a greater change in price than overall market prices. While a stock with a beta of less than 1.00 will experience a price change which is less than the price changes realized by the market as a whole. A beta less than zero, which would indicate an inverse relation to the market, is possible but highly unlikely. | 0.73 |
Shares Outstanding | 927.26M |
Descriptive | |
Sector The specific business sector of the company. | Technology |
Dividend <b>Dividend</b> is the dollar amount paid per share annually to shareholders. Fractional dividends are paid per share quarterly which equals the total dividend annually. | $6.68 |
Dividend Yield <b>Dividend Yield</b> expressed as a percentage, is a financial ratio (dividend/price) that shows how much a company pays out in dividends each year relative to its stock price | 2.75% |
Payout Ratio <b>Payout Ratio</b> is a financial metric showing the proportion of earnings a company pays its shareholders in the form of dividends, expressed as a | 1.02 |
Employees Number of fulltime employees. | 270300 |
IPO Date The initial public offering date of the company | Sep 24th 1915 |
Country The country the company is based. | US |
Financial Growth Snapshot - International Business Machines Corporation
Earnings History - International Business Machines Corporation
Analyst Price Targets
Get FREE access to more in-depth news & updates.
Already have an account? Just login!
Recent Insider Transactions
Bank Analyst Ratings
SEC Regulatory Filings
Get better insights and professional-grade metrics
Buffett Fair Value
Buffett Fair Value Indicator
Get better insights and professional-grade metrics
Latest News on International Business Machines Corporation
Institutional Holders
Institutional Transactions
Get better insights and professional-grade metrics