Avon Products Inc (AVP)
PRE-SCREEN: Dividends covered by FCF since 1999
PRE-SCREEN: High Consistency Sales
PRE-SCREEN: Near 80 Days Support
DIVIDEND STOCKS: US Broad Dividend Achievers
DIVIDEND STOCKS: US Dividend Contenders
STOCKS LIST: NYSE Large-Cap 1% Dividend Stocks


Avon Products, Inc. (Avon) is a global manufacturer and marketer of beauty and related products. Its products fall into three product categories: Beauty, Fashion and Home. Beauty consists of color cosmetics, fragrances, skin care and personal care. Fashion consists of fashion jewelry, watches, apparel, footwear and accessories. Home consists of gift and decorative products, house wares, entertainment and leisure products, and childrens and nutritional products. Sales from Health and Wellness products and mark., a global cosmetics brand that focuses on the market for young women, are included among these three categories based on product type. Avon primarily sells its products to the consumers through the direct-selling channel. The Companys segments are based on geographic operations in six regions: Latin America; North America; Central & Eastern Europe; Western Europe, Middle East & Africa; Asia Pacific, and China.
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| Margin of Safety |
| Ticker |
Cap $B |
CAPM |
Asset |
EPV |
DCF |
Graham |
Price to Book (MRQ vs 5 Yr Avg) |
Price to Sales (TTM vs 5 Yr Avg) |
Price to Cash Flow (TTM vs 3 Yr Avg) |
P/E Ratio (TTM vs 5 Yr Avg) |
Current Price |
| AVP |
13 |
9.9 |
-42% |
-8% |
-56% |
-46% |
63% |
18% |
-67% |
6% |
31.3 |
| PG |
185 |
6.0 |
-50% |
14% |
101% |
-24% |
5% |
12% |
2% |
10% |
63.7 |
| CL |
42 |
5.7 |
-75% |
-4% |
-18% |
-60% |
52% |
3% |
-18% |
15% |
84.2 |
| KMB |
25 |
5.5 |
-50% |
17% |
18% |
-46% |
14% |
22% |
3% |
25% |
60.1 |
| Valuation |
| Ticker |
Cap $B |
CAPM |
P/E Ratio (TTM) |
Price to Sales (TTM) |
Price to Book (MRQ) |
Price to Tangible Book (MRQ) |
Price to Cash Flow (TTM) |
Price to Free Cash Flow (TTM) |
EV / Revenue (TTM) |
EV / EBITDA (TTM) |
Earnings Yield |
| AVP |
13 |
9.9 |
21.4 |
1.3 |
10.4 |
14.3 |
16.2 |
109.5 |
1.4 |
10.4 |
10% |
| PG |
185 |
6.0 |
18.0 |
2.4 |
2.8 |
0.0 |
13.4 |
21.0 |
2.7 |
10.7 |
9% |
| CL |
42 |
5.7 |
19.3 |
2.7 |
14.1 |
0.0 |
15.3 |
24.1 |
2.9 |
11.2 |
9% |
| KMB |
25 |
5.5 |
13.3 |
1.3 |
4.6 |
11.7 |
9.6 |
15.2 |
1.6 |
8.0 |
12% |
| Financial Health |
| Ticker |
MS Style Box |
MStar |
Piotroski F-Score |
Altman Z-Score |
Quick Ratio (MRQ) |
Current Ratio (MRQ) |
LT Debt to Equity (MRQ) |
Total Debt to Equity (MRQ) |
Interest Coverage (TTM) |
|
| AVP |
Aggressive Growth |
B |
4 |
4.7 |
1.4 |
1.8 |
181.4 |
192.2 |
21.2 |
|
| PG |
Classic Growth |
A |
6 |
3.3 |
0.6 |
0.9 |
32.5 |
43.8 |
11.5 |
|
| CL |
Aggressive Growth |
A |
7 |
7.3 |
0.7 |
1.1 |
90.5 |
102.1 |
32.3 |
|
| KMB |
Classic Growth |
A |
6 |
3.4 |
0.8 |
1.2 |
88.6 |
99.9 |
9.9 |
|
| Growth |
| Ticker |
Cap $B |
CAPM |
MStar |
Sales (MRQ) vs Qtr 1 Yr Ago |
Sales (TTM) vs TTM 1 Yr Ago |
Sales 5 Yr Growth Rate |
EPS (MRQ) vs Qtr 1 Yr Ago |
EPS (TTM) vs TTM 1 Yr Ago |
EPS 5 Yr Growth Rate |
Capital Spending 5 Yr Growth |
Dividend 5 Yr Growth |
| AVP |
13 |
9.9 |
C |
13.3 |
1.3 |
6.0 |
14.2 |
-29.0 |
-3.9 |
3.5 |
8.5 |
| PG |
185 |
6.0 |
C |
6.4 |
2.4 |
8.3 |
13.8 |
-0.8 |
9.5 |
9.9 |
12.0 |
| CL |
42 |
5.7 |
C |
11.4 |
2.7 |
7.7 |
28.6 |
19.3 |
13.4 |
10.6 |
12.4 |
| KMB |
25 |
5.5 |
C |
8.4 |
1.3 |
4.9 |
16.0 |
11.5 |
5.0 |
9.7 |
8.5 |
| Profitability |
| Ticker |
Cap $B |
CAPM |
MStar |
ROA (TTM) |
ROA 5 Yr Avg |
ROI (TTM) |
ROI 5 Yr Avg |
ROE (TTM) |
ROE 5 Yr Avg. |
Payout Ratio (TTM) |
Dividend Yield |
| AVP |
13 |
9.9 |
A |
9.8 |
12.4 |
16.5 |
23.7 |
63.7 |
81.9 |
57.8 |
2.8% |
| PG |
185 |
6.0 |
C |
8.0 |
8.2 |
10.3 |
10.7 |
16.7 |
18.5 |
46.7 |
2.8% |
| CL |
42 |
5.7 |
B |
22.7 |
18.8 |
33.5 |
28.4 |
96.4 |
105.9 |
37.8 |
2.5% |
| KMB |
25 |
5.5 |
A |
9.8 |
9.3 |
13.6 |
13.2 |
40.6 |
31.7 |
52.9 |
4.4% |
| Margins |
| Ticker |
Cap $B |
CAPM |
Gross (TTM) |
Gross 5 Yr Avg |
EBITD (TTM) |
EBITD 5 Yr Avg |
Operating (TTM) |
Operating 5 Yr Avg |
Net Profit (TTM) |
Net Profit 5 Yr Avg |
Return on Capital |
| AVP |
13 |
9.9 |
62.2 |
61.4 |
11.6 |
12.5 |
9.8 |
9.8 |
6.1 |
7.0 |
48% |
| PG |
185 |
6.0 |
51.2 |
50.7 |
24.9 |
23.8 |
20.9 |
20.9 |
14.2 |
13.4 |
84% |
| CL |
42 |
5.7 |
58.8 |
57.0 |
25.9 |
23.0 |
23.6 |
23.6 |
15.6 |
13.1 |
96% |
| KMB |
25 |
5.5 |
33.6 |
31.5 |
18.9 |
18.5 |
14.8 |
14.8 |
9.6 |
9.2 |
43% |



Legend:
Trailing Twelve Months
Most Recent Quarter
Risk Free Rate: 3.41%
US Equity Market Risk Premium: 4.44%
S&P 500 Ratios
P/E: 20.2
Price/Book: 3.94
Price/Sales: 2.17
Price/Cash Flow: 14.40
Dividend Yield: 2.00%