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Acushnet Holdings 10K Form

Buy
72

GOLF
Acushnet Holdings

Last Price:
71.85
Seasonality Move:
5.71%

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GOLF Financial Statistics

Sales & Book Value

Annual Sales: $2.38B
Cash Flow: $123.7M
Price / Cash Flow: 18.87
Annual Sales: $14.12
Price / Book: 5.06

Profitability

EPS (TTM): 2.99000
Net Income (TTM): $188.61M
Gross Margin: $1.25B
Return on Equity: 20.37%
Return on Assets: 8.33%

Acushnet Holdings Earnings Forecast

Key Acushnet Holdings Financial Ratios

  • The Gross Profit Margin over the past 11 years for GOLF is 52.58%.
  • The Selling, General & Administrative Expenses for GOLF have been equal to 37.29% of Gross Profit Margin.
  • The Research & Development expenses have been 2.72% of Revenue.
  • The Interest Expense is 21.99% of Operating Income.
  • The Net Earning history of GOLF is 8.33% of Total Revenues.
  • Per Share Earnings over the last 11 years have been positive in 6 years.

Acushnet Holdings Stock Price Chart

Industry, Sector and Symbol

Stock Exchange: NYSE
Industry: Leisure Products
Sector: Consumer Discretionary
Current Symbol: GOLF
CUSIP: 005098
Website: acushnetholdingscorp.com

Debt

Debt-to-Equity Ratio: 0.85
Current Ratio: 2.1
Quick Ratio: 0.9

Price-to-Earnings

Trailing P/E Ratio: 24.48
Forward P/E Ratio: 19

GOLF Technical Analysis vs Fundamental Analysis

Buy
72
Acushnet Holdings (GOLF) is a Buy

Is Acushnet Holdings a Buy or a Sell?

  • Acushnet Holdings stock is rated a Buy
    The current Acushnet Holdings [GOLF] share price is $71.96. The Score for GOLF is 72, which is 44% above its historic median score of 50, and infers lower risk than normal.