UVV Factor Report

Data as of market close on: 5/24/2024.

Fundamental analysis of UVV using the major investing factors, including value, quality, momentum, and low volatility.
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Latest Close: $46.00 Market Cap ($ mil): $1,130 Sector: Consumer/Non-Cyclical Industry: Crops 52 Week High: $67.80 52 Week Low: $44.40 Relative Strength: 35 Twelve Minus One Return: -3.3% Standard Deviation: 24.3% Insider Ownership: 2.89%
PE Ratio: 9.6 Price/Sales: 0.4 Price/Book: 0.8 Price/Cash Flow: 5.9 EV/EBITDA: 7.43 Dividend Yield: 7.04% Shareholder Yield: 7.47% Piotroski F Score: 4 Mohanram G Score: 6 Institutional Ownership: 84.65%
Return on Equity: 8.4% Return on Assets: 4.8% Return on Tangible Capital: 11.7% Return on Invested Capital: 8.6% WACC: 5.6% Debt/Equity: 0.72 LT EPS Growth: 9.2% LT Sales Growth: 6.2% Beta: 0.78 Profit Margin: 4.84%
Universal Corporation is a global leaf tobacco supplier. The Company is a business-to-business Agri-products supplier to consumer product manufacturers, operating in over 30 countries. Through its plant-based ingredients platform, it provides a variety of value-added manufacturing processes to produce specialty vegetable- and fruit-based ingredients as well as botanical extracts and flavorings for human and pet food end markets. It operates through two segments: Tobacco Operations and Ingredients Operations. The Tobacco Operations segment activities involve contracting, procuring, processing, packing, storing, and shipping leaf tobacco for sale to, or for the account of, manufacturers of consumer tobacco products. It also provides physical and chemical product testing and smoke testing for tobacco customers. The Ingredients Operations segment provides its customers with a broad variety of plant-based ingredients for both human and pet consumption.

Factor Profile

UVV's exposure to the major factors (100 is highest).

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