BATH & BODY WORKS, INC./  US0708301041  /

Vienna Global Market
7/17/2024  1:00:31 PM Chg. +0.44 Volume Bid2:32:10 PM Ask2:32:10 PM Market Capitalization Dividend Y. P/E Ratio
35.27EUR +1.26% 0
Turnover: -
34.72Bid Size: 268 35.28Ask Size: 268 7.92 bill.EUR - -

Fundamentals

  FY 2023 Growth (1Y)
Per Share  
Earnings per Share: 3.86 USD 11.88%
EPS Diluted: 3.84 USD 11.95%
Revenues per Share: 33.03 USD -0.04%
Book Value per Share: -7.23 USD -24.99%
Cash Flow per Share: 4.24 USD -15.17%
Dividend per Share: 0.80 USD 0.00%
Total in mill.  
Revenues: 7,429.00 USD -1.73%
Net Income: 878.00 USD 9.75%
Operating Cash Flow: 954.00 USD -
Cash and Cash Equivalents: 1,084.00 USD -

Valuation Ratios

  Current Latest FY*
P/E Ratio: 10.02 11.26
P/S Ratio: 1.17 1.32
P/BV ratio: -5.35 -6.01
P/CF Ratio: 9.11 10.24
PEG: 0.84 0.95
Earnings Yield: 9.98% 8.88%
Dividend Yield: 2.07% 1.84%
Market Capitalization  
Market Capitalization: 7.92 bill. EUR 8.85 bill. EUR
Free Float Market Cap.: - EUR - EUR
Market Cap. / Employee: - EUR - EUR
Shares Outstanding: 223.23 mill.  
 

Profitability

Gross Profit Margin: 43.56%
EBIT Margin: 17.30%
Net Profit Margin: 11.82%
Return on Equity: -
Return on Assets: 16.07%

Financial Strength

Liquidity I / Cash Ratio: 84.10%
Liquidity II / Quick Ratio: 101.47%
Liquidity III / Current Ratio: 164.08%
Debt / Equity Ratio: -
Dynam. Debt / Equity Ratio: 743.08%

Efficiency

Employees: -
Personal Expenses / Employee: - USD
Revenues / Employee: - USD
Net Income / Employee: - USD
Total Assets / Employee: - USD
 
* Fiscal Year End: 2/3/2024
Accounting Standard: US GAAP
Currency: USD