VALVOLINE INC

NYSE: VVV (Valvoline Inc.)

Last update: 25 Nov, 2024, 7:16PM

39.49

0.92 (2.39%)

Previous Close 38.57
Open 39.10
Volume 1,982,984
Avg. Volume (3M) 1,154,568
Market Cap 5,088,918,528
Price / Earnings (TTM) 24.23
Price / Earnings (Forward) 23.04
Price / Sales 2.94
Price / Book 25.14
52 Weeks Range
33.86 (-14%) — 48.27 (22%)
Earnings Date 4 Feb 2025 - 10 Feb 2025
Profit Margin 10.68%
Operating Margin (TTM) 26.23%
Diluted EPS (TTM) 1.63
Quarterly Revenue Growth (YOY) 28.10%
Quarterly Earnings Growth (YOY) 37.70%
Current Ratio (MRQ) 0.730
Operating Cash Flow (TTM) 171.40 M
Levered Free Cash Flow (TTM) -30.96 M
Return on Assets (TTM) 7.69%
Return on Equity (TTM) 102.27%

Market Trend

Short Term Medium Term
Industry Auto & Truck Dealerships (US) Bullish Bullish
Auto & Truck Dealerships (Global) Bullish Bullish
Stock Valvoline Inc. Bearish Bullish

AIStockmoo Score

0.8
Analyst Consensus 2.0
Insider Activity NA
Price Volatility 2.0
Technical Moving Averages 1.5
Technical Oscillators -2.5
Average 0.75

Similar Stocks

Stock Market Cap DY P/E (TTM) P/B
VVV 5 B - 24.23 25.14
KMX 13 B - 31.25 2.16
CVNA 21 B - - 52.84
MCW 2 B - 32.14 2.37
KAR 2 B - 110.33 1.62
KFS 234 M - - 23.08

Valvoline Inc produces, markets, and sells automotive maintenance products, particularly lubricants, to retail outlets installers, and customers. The company offers various products such as engine oil, heavy-duty engine oil, motorcycle oil, grease and brake fluid, and others. Geographically, the majority of the revenue is generated from the United States of America.

Sector Consumer Cyclical
Industry Auto & Truck Dealerships
Investment Style Small Growth
% Held by Insiders 0.62%
% Held by Institutions 101.42%
52 Weeks Range
33.86 (-14%) — 48.27 (22%)
Price Target Range
42.00 (6%) — 49.00 (24%)
High 49.00 (Stephens & Co., 24.08%) Buy
Median 46.00 (16.49%)
Low 42.00 (Stifel, 6.36%) Hold
42.00 (Morgan Stanley, 6.36%) Buy
Average 45.00 (13.95%)
Total 6 Buy, 1 Hold
Avg. Price @ Call 38.63
Firm Date Target Price Call Price @ Call
Stifel 20 Dec 2024 42.00 (6.36%) Hold 36.55
Baird 20 Nov 2024 46.00 (16.49%) Buy 38.48
Mizuho 20 Nov 2024 46.00 (16.49%) Buy 38.48
Morgan Stanley 20 Nov 2024 42.00 (6.36%) Buy 38.48
RBC Capital 20 Nov 2024 46.00 (16.49%) Buy 38.48
Wells Fargo 20 Nov 2024 44.00 (11.42%) Buy 38.48
Stephens & Co. 15 Oct 2024 49.00 (24.08%) Buy 41.48

No data within this time range.

5Y Average Dividend Yield 0.98%
Ex Date Announcement Date Payment Date Details
01 Dec 2022 21 Nov 2022 15 Dec 2022 0.125 Cash
30 Aug 2022 20 Jul 2022 15 Sep 2022 0.125 Cash
27 May 2022 21 Apr 2022 15 Jun 2022 0.125 Cash
25 Feb 2022 24 Jan 2022 15 Mar 2022 0.125 Cash
26 Nov 2021 11 Nov 2021 15 Dec 2021 0.125 Cash
27 Aug 2021 19 Jul 2021 15 Sep 2021 0.125 Cash
27 May 2021 22 Apr 2021 15 Jun 2021 0.125 Cash
25 Feb 2021 28 Jan 2021 15 Mar 2021 0.125 Cash
27 Nov 2020 12 Nov 2020 15 Dec 2020 0.125 Cash
28 Aug 2020 23 Jul 2020 15 Sep 2020 0.113 Cash
28 May 2020 22 Apr 2020 15 Jun 2020 0.113 Cash
27 Feb 2020 29 Jan 2020 16 Mar 2020 0.113 Cash
27 Nov 2019 15 Nov 2019 16 Dec 2019 0.113 Cash
29 Aug 2019 19 Jul 2019 16 Sep 2019 0.106 Cash
30 May 2019 26 Apr 2019 17 Jun 2019 0.106 Cash
28 Feb 2019 31 Jan 2019 15 Mar 2019 0.106 Cash
29 Nov 2018 20 Nov 2018 17 Dec 2018 0.106 Cash
30 Aug 2018 25 Jul 2018 17 Sep 2018 0.0745 Cash
31 May 2018 18 Apr 2018 15 Jun 2018 0.0745 Cash
28 Feb 2018 31 Jan 2018 15 Mar 2018 0.0745 Cash
30 Nov 2017 14 Nov 2017 15 Dec 2017 0.0745 Cash
30 Aug 2017 27 Jul 2017 15 Sep 2017 0.049 Cash
30 May 2017 27 Apr 2017 15 Jun 2017 0.049 Cash
27 Feb 2017 24 Jan 2017 15 Mar 2017 0.049 Cash
01 Dec 2016 15 Nov 2016 20 Dec 2016 0.049 Cash
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Annual Dividend Yield

Year Annual Dividend ($) Frequency/Year Yield %
2022 0.500 4 1.53
2021 0.500 4 1.34
2020 0.464 4 2.01
2019 0.431 4 2.01
2018 0.330 4 1.70
2017 0.222 4 0.88
2016 0.049 1 0.23
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The support, resistance and trendline levels presented has been generated by an artificial intelligence (AI) model and should be interpreted with caution.

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Risk Profile

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Conservative
Moderate Conservative
Moderate
Moderate Aggressive
Aggressive
Margin of Safety (EP)
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Target Profit (TP2)
Maximum Loss (SL)

Disclaimer: The above is for illustrative purposes only and is NOT investment advice. Seek advice from a qualified financial professional.

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52W Range
 
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All alert prices are within 52 weeks price range

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