Financhill
Buy
64

COMM Quote, Financials, Valuation and Earnings

Last price:
$18.10
Seasonality move :
-0.73%
Day range:
$17.95 - $18.26
52-week range:
$2.94 - $20.55
Dividend yield:
0%
P/E ratio:
4.65x
P/S ratio:
0.80x
P/B ratio:
--
Volume:
1.1M
Avg. volume:
4.3M
1-year change:
215.16%
Market cap:
$4B
Revenue:
$4.2B
EPS (TTM):
-$0.13

Price Performance History

Performance vs. Valuation Benchmarks

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Competitors

Company Revenue Forecast Earnings Forecast Revenue Growth Forecast Earnings Growth Forecast Analyst Price Target Median
COMM
CommScope Holding Co., Inc.
$1.4B $0.37 30.33% 82.95% $24.25
APH
Amphenol Corp.
$5.6B $0.80 43.4% 59.07% $150.43
BKTI
BK Technologies Corp.
$22.1M $0.96 8.77% -24.6% $97.00
GLW
Corning, Inc.
$4.2B $0.66 24.28% 96.43% $94.54
MSI
Motorola Solutions, Inc.
$3B $3.85 11.13% 22.11% $490.10
UI
Ubiquiti, Inc.
$702.4M $2.93 19.52% 36.1% $587.50
Company Price Analyst Target Market Cap P/E Ratio Dividend per Share Dividend Yield Price / LTM Sales
COMM
CommScope Holding Co., Inc.
$18.09 $24.25 $4B 4.65x $0.00 0% 0.80x
APH
Amphenol Corp.
$137.94 $150.43 $168.8B 45.98x $0.25 0.54% 8.37x
BKTI
BK Technologies Corp.
$74.55 $97.00 $278.2M 22.55x $0.00 0% 3.54x
GLW
Corning, Inc.
$89.66 $94.54 $76.9B 56.86x $0.28 1.25% 5.21x
MSI
Motorola Solutions, Inc.
$376.48 $490.10 $62.7B 30.21x $1.21 1.19% 5.65x
UI
Ubiquiti, Inc.
$571.23 $587.50 $34.6B 43.68x $0.80 0.49% 12.54x
Company Total Debt / Total Capital Beta Debt to Equity Quick Ratio
COMM
CommScope Holding Co., Inc.
116.84% 4.779 157.09% 1.42x
APH
Amphenol Corp.
39.19% 1.541 5.46% 1.43x
BKTI
BK Technologies Corp.
2.06% -0.821 0.27% 1.63x
GLW
Corning, Inc.
44.33% 2.262 13% 0.75x
MSI
Motorola Solutions, Inc.
81.02% 0.179 13.27% 0.80x
UI
Ubiquiti, Inc.
17.7% 3.217 0.45% 0.76x
Company Gross Profit Operating Income Return on Invested Capital Return on Common Equity EBIT Margin Free Cash Flow
COMM
CommScope Holding Co., Inc.
$616.1M $314.1M 5.48% -- 19.27% $135M
APH
Amphenol Corp.
$2.4B $1.7B 21.4% 35.69% 27.48% $1.2B
BKTI
BK Technologies Corp.
$12.2M $4.8M 37.78% 39.08% 19.85% $9.5M
GLW
Corning, Inc.
$1.5B $634M 7.51% 13.07% 15.46% $450M
MSI
Motorola Solutions, Inc.
$1.5B $782M 22.59% 117.28% 25.99% $732M
UI
Ubiquiti, Inc.
$337.4M $261.7M 91.6% 164.18% 35.67% $193.3M

CommScope Holding Co., Inc. vs. Competitors

  • Which has Higher Returns COMM or APH?

    Amphenol Corp. has a net margin of 6.56% compared to CommScope Holding Co., Inc.'s net margin of 20.26%. CommScope Holding Co., Inc.'s return on equity of -- beat Amphenol Corp.'s return on equity of 35.69%.

    Company Gross Margin Earnings Per Share Invested Capital
    COMM
    CommScope Holding Co., Inc.
    37.81% $0.33 $6.3B
    APH
    Amphenol Corp.
    38.09% $0.97 $20.7B
  • What do Analysts Say About COMM or APH?

    CommScope Holding Co., Inc. has a consensus price target of $24.25, signalling upside risk potential of 34.05%. On the other hand Amphenol Corp. has an analysts' consensus of $150.43 which suggests that it could grow by 9.71%. Given that CommScope Holding Co., Inc. has higher upside potential than Amphenol Corp., analysts believe CommScope Holding Co., Inc. is more attractive than Amphenol Corp..

    Company Buy Ratings Hold Ratings Sell Ratings
    COMM
    CommScope Holding Co., Inc.
    2 1 0
    APH
    Amphenol Corp.
    10 6 0
  • Is COMM or APH More Risky?

    CommScope Holding Co., Inc. has a beta of 2.384, which suggesting that the stock is 138.378% more volatile than S&P 500. In comparison Amphenol Corp. has a beta of 1.188, suggesting its more volatile than the S&P 500 by 18.828%.

  • Which is a Better Dividend Stock COMM or APH?

    CommScope Holding Co., Inc. has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Amphenol Corp. offers a yield of 0.54% to investors and pays a quarterly dividend of $0.25 per share. CommScope Holding Co., Inc. pays -- of its earnings as a dividend. Amphenol Corp. pays out 28.67% of its earnings as a dividend. Amphenol Corp.'s payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios COMM or APH?

    CommScope Holding Co., Inc. quarterly revenues are $1.6B, which are smaller than Amphenol Corp. quarterly revenues of $6.2B. CommScope Holding Co., Inc.'s net income of $106.9M is lower than Amphenol Corp.'s net income of $1.3B. Notably, CommScope Holding Co., Inc.'s price-to-earnings ratio is 4.65x while Amphenol Corp.'s PE ratio is 45.98x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for CommScope Holding Co., Inc. is 0.80x versus 8.37x for Amphenol Corp.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    COMM
    CommScope Holding Co., Inc.
    0.80x 4.65x $1.6B $106.9M
    APH
    Amphenol Corp.
    8.37x 45.98x $6.2B $1.3B
  • Which has Higher Returns COMM or BKTI?

    BK Technologies Corp. has a net margin of 6.56% compared to CommScope Holding Co., Inc.'s net margin of 14.08%. CommScope Holding Co., Inc.'s return on equity of -- beat BK Technologies Corp.'s return on equity of 39.08%.

    Company Gross Margin Earnings Per Share Invested Capital
    COMM
    CommScope Holding Co., Inc.
    37.81% $0.33 $6.3B
    BKTI
    BK Technologies Corp.
    49.93% $0.87 $41.8M
  • What do Analysts Say About COMM or BKTI?

    CommScope Holding Co., Inc. has a consensus price target of $24.25, signalling upside risk potential of 34.05%. On the other hand BK Technologies Corp. has an analysts' consensus of $97.00 which suggests that it could grow by 30.11%. Given that CommScope Holding Co., Inc. has higher upside potential than BK Technologies Corp., analysts believe CommScope Holding Co., Inc. is more attractive than BK Technologies Corp..

    Company Buy Ratings Hold Ratings Sell Ratings
    COMM
    CommScope Holding Co., Inc.
    2 1 0
    BKTI
    BK Technologies Corp.
    1 0 0
  • Is COMM or BKTI More Risky?

    CommScope Holding Co., Inc. has a beta of 2.384, which suggesting that the stock is 138.378% more volatile than S&P 500. In comparison BK Technologies Corp. has a beta of 0.479, suggesting its less volatile than the S&P 500 by 52.143%.

  • Which is a Better Dividend Stock COMM or BKTI?

    CommScope Holding Co., Inc. has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. BK Technologies Corp. offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. CommScope Holding Co., Inc. pays -- of its earnings as a dividend. BK Technologies Corp. pays out -- of its earnings as a dividend.

  • Which has Better Financial Ratios COMM or BKTI?

    CommScope Holding Co., Inc. quarterly revenues are $1.6B, which are larger than BK Technologies Corp. quarterly revenues of $24.4M. CommScope Holding Co., Inc.'s net income of $106.9M is higher than BK Technologies Corp.'s net income of $3.4M. Notably, CommScope Holding Co., Inc.'s price-to-earnings ratio is 4.65x while BK Technologies Corp.'s PE ratio is 22.55x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for CommScope Holding Co., Inc. is 0.80x versus 3.54x for BK Technologies Corp.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    COMM
    CommScope Holding Co., Inc.
    0.80x 4.65x $1.6B $106.9M
    BKTI
    BK Technologies Corp.
    3.54x 22.55x $24.4M $3.4M
  • Which has Higher Returns COMM or GLW?

    Corning, Inc. has a net margin of 6.56% compared to CommScope Holding Co., Inc.'s net margin of 11.46%. CommScope Holding Co., Inc.'s return on equity of -- beat Corning, Inc.'s return on equity of 13.07%.

    Company Gross Margin Earnings Per Share Invested Capital
    COMM
    CommScope Holding Co., Inc.
    37.81% $0.33 $6.3B
    GLW
    Corning, Inc.
    36.39% $0.50 $21.2B
  • What do Analysts Say About COMM or GLW?

    CommScope Holding Co., Inc. has a consensus price target of $24.25, signalling upside risk potential of 34.05%. On the other hand Corning, Inc. has an analysts' consensus of $94.54 which suggests that it could grow by 5.44%. Given that CommScope Holding Co., Inc. has higher upside potential than Corning, Inc., analysts believe CommScope Holding Co., Inc. is more attractive than Corning, Inc..

    Company Buy Ratings Hold Ratings Sell Ratings
    COMM
    CommScope Holding Co., Inc.
    2 1 0
    GLW
    Corning, Inc.
    10 2 1
  • Is COMM or GLW More Risky?

    CommScope Holding Co., Inc. has a beta of 2.384, which suggesting that the stock is 138.378% more volatile than S&P 500. In comparison Corning, Inc. has a beta of 1.114, suggesting its more volatile than the S&P 500 by 11.424%.

  • Which is a Better Dividend Stock COMM or GLW?

    CommScope Holding Co., Inc. has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Corning, Inc. offers a yield of 1.25% to investors and pays a quarterly dividend of $0.28 per share. CommScope Holding Co., Inc. pays -- of its earnings as a dividend. Corning, Inc. pays out 192.34% of its earnings as a dividend.

  • Which has Better Financial Ratios COMM or GLW?

    CommScope Holding Co., Inc. quarterly revenues are $1.6B, which are smaller than Corning, Inc. quarterly revenues of $4.1B. CommScope Holding Co., Inc.'s net income of $106.9M is lower than Corning, Inc.'s net income of $470M. Notably, CommScope Holding Co., Inc.'s price-to-earnings ratio is 4.65x while Corning, Inc.'s PE ratio is 56.86x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for CommScope Holding Co., Inc. is 0.80x versus 5.21x for Corning, Inc.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    COMM
    CommScope Holding Co., Inc.
    0.80x 4.65x $1.6B $106.9M
    GLW
    Corning, Inc.
    5.21x 56.86x $4.1B $470M
  • Which has Higher Returns COMM or MSI?

    Motorola Solutions, Inc. has a net margin of 6.56% compared to CommScope Holding Co., Inc.'s net margin of 18.74%. CommScope Holding Co., Inc.'s return on equity of -- beat Motorola Solutions, Inc.'s return on equity of 117.28%.

    Company Gross Margin Earnings Per Share Invested Capital
    COMM
    CommScope Holding Co., Inc.
    37.81% $0.33 $6.3B
    MSI
    Motorola Solutions, Inc.
    49.92% $3.33 $12.3B
  • What do Analysts Say About COMM or MSI?

    CommScope Holding Co., Inc. has a consensus price target of $24.25, signalling upside risk potential of 34.05%. On the other hand Motorola Solutions, Inc. has an analysts' consensus of $490.10 which suggests that it could grow by 30.18%. Given that CommScope Holding Co., Inc. has higher upside potential than Motorola Solutions, Inc., analysts believe CommScope Holding Co., Inc. is more attractive than Motorola Solutions, Inc..

    Company Buy Ratings Hold Ratings Sell Ratings
    COMM
    CommScope Holding Co., Inc.
    2 1 0
    MSI
    Motorola Solutions, Inc.
    7 2 0
  • Is COMM or MSI More Risky?

    CommScope Holding Co., Inc. has a beta of 2.384, which suggesting that the stock is 138.378% more volatile than S&P 500. In comparison Motorola Solutions, Inc. has a beta of 0.996, suggesting its less volatile than the S&P 500 by 0.445%.

  • Which is a Better Dividend Stock COMM or MSI?

    CommScope Holding Co., Inc. has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Motorola Solutions, Inc. offers a yield of 1.19% to investors and pays a quarterly dividend of $1.21 per share. CommScope Holding Co., Inc. pays -- of its earnings as a dividend. Motorola Solutions, Inc. pays out 43.65% of its earnings as a dividend. Motorola Solutions, Inc.'s payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios COMM or MSI?

    CommScope Holding Co., Inc. quarterly revenues are $1.6B, which are smaller than Motorola Solutions, Inc. quarterly revenues of $3B. CommScope Holding Co., Inc.'s net income of $106.9M is lower than Motorola Solutions, Inc.'s net income of $564M. Notably, CommScope Holding Co., Inc.'s price-to-earnings ratio is 4.65x while Motorola Solutions, Inc.'s PE ratio is 30.21x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for CommScope Holding Co., Inc. is 0.80x versus 5.65x for Motorola Solutions, Inc.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    COMM
    CommScope Holding Co., Inc.
    0.80x 4.65x $1.6B $106.9M
    MSI
    Motorola Solutions, Inc.
    5.65x 30.21x $3B $564M
  • Which has Higher Returns COMM or UI?

    Ubiquiti, Inc. has a net margin of 6.56% compared to CommScope Holding Co., Inc.'s net margin of 28.33%. CommScope Holding Co., Inc.'s return on equity of -- beat Ubiquiti, Inc.'s return on equity of 164.18%.

    Company Gross Margin Earnings Per Share Invested Capital
    COMM
    CommScope Holding Co., Inc.
    37.81% $0.33 $6.3B
    UI
    Ubiquiti, Inc.
    45.98% $3.43 $1B
  • What do Analysts Say About COMM or UI?

    CommScope Holding Co., Inc. has a consensus price target of $24.25, signalling upside risk potential of 34.05%. On the other hand Ubiquiti, Inc. has an analysts' consensus of $587.50 which suggests that it could grow by 2.85%. Given that CommScope Holding Co., Inc. has higher upside potential than Ubiquiti, Inc., analysts believe CommScope Holding Co., Inc. is more attractive than Ubiquiti, Inc..

    Company Buy Ratings Hold Ratings Sell Ratings
    COMM
    CommScope Holding Co., Inc.
    2 1 0
    UI
    Ubiquiti, Inc.
    0 0 0
  • Is COMM or UI More Risky?

    CommScope Holding Co., Inc. has a beta of 2.384, which suggesting that the stock is 138.378% more volatile than S&P 500. In comparison Ubiquiti, Inc. has a beta of 1.381, suggesting its more volatile than the S&P 500 by 38.139%.

  • Which is a Better Dividend Stock COMM or UI?

    CommScope Holding Co., Inc. has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Ubiquiti, Inc. offers a yield of 0.49% to investors and pays a quarterly dividend of $0.80 per share. CommScope Holding Co., Inc. pays -- of its earnings as a dividend. Ubiquiti, Inc. pays out 20.41% of its earnings as a dividend. Ubiquiti, Inc.'s payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.

  • Which has Better Financial Ratios COMM or UI?

    CommScope Holding Co., Inc. quarterly revenues are $1.6B, which are larger than Ubiquiti, Inc. quarterly revenues of $733.8M. CommScope Holding Co., Inc.'s net income of $106.9M is lower than Ubiquiti, Inc.'s net income of $207.9M. Notably, CommScope Holding Co., Inc.'s price-to-earnings ratio is 4.65x while Ubiquiti, Inc.'s PE ratio is 43.68x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for CommScope Holding Co., Inc. is 0.80x versus 12.54x for Ubiquiti, Inc.. Usually stocks with elevated PS ratios are considered overvalued.

    Company Price/Sales Ratio Price/Earnings Ratio Quarterly Revenue Quarterly Net Income
    COMM
    CommScope Holding Co., Inc.
    0.80x 4.65x $1.6B $106.9M
    UI
    Ubiquiti, Inc.
    12.54x 43.68x $733.8M $207.9M

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