OMNIVISION TECHNOLOGIES INC's gross profit margin for the first quarter of its fiscal year 2015 has decreased when compared to the same period a year ago. Sales and net income have dropped, underperforming the average competitor within its industry. OMNIVISION TECHNOLOGIES INC is extremely liquid. Currently, the Quick Ratio is 3.57 which clearly shows the ability to cover any short-term cash needs. OVTI managed to increase the liquidity from the same period a year ago, despite already having very strong liquidity to begin with. This would indicate improved cash flow.
During the same period, stockholders' equity ("net worth") has increased by 11.93% from the same quarter last year. Overall, the key liquidity measurements indicate that the company is very unlikely to face financial difficulties in the near future.
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|Income Statement||Q1 FY15||Q1 FY14|
|Net Sales ($mil)||329.89||406.54|
|Net Income ($mil)||18.24||45.33|
|Balance Sheet||Q1 FY15||Q1 FY14|
|Cash & Equiv. ($mil)||593.81||524.17|
|Total Assets ($mil)||1469.98||1413.73|
|Total Debt ($mil)||31.95||35.68|
|Profitability||Q1 FY15||Q1 FY14|
|Gross Profit Margin||21.89||23.36|
|Return on Assets||4.51||8.29|
|Return on Equity||5.67||11.23|
|Debt||Q1 FY15||Q1 FY14|
|Share Data||Q1 FY15||Q1 FY14|
|Shares outstanding (mil)||59.59||57.55|
|Div / share||0.0||0.0|
|Book value / share||19.6||18.13|
|Institutional Own %||n/a||n/a|
|Avg Daily Volume||619733.0||607437.0|
BUY. OMNIVISION TECHNOLOGIES INC's P/E ratio indicates a discount compared to an average of 23.79 for the Semiconductors & Semiconductor Equipment industry and a value on par with the S&P 500 average of 20.03. To use another comparison, its price-to-book ratio of 1.20 indicates a discount versus the S&P 500 average of 2.67 and a significant discount versus the industry average of 4.39. The price-to-sales ratio is well below both the S&P 500 average and the industry average, indicating a discount. Upon assessment of these and other key valuation criteria, OMNIVISION TECHNOLOGIES INC proves to trade at a discount to investment alternatives within the industry.
|OVTI 21.22||Peers 23.79||OVTI NA||Peers 15.18|
Discount. A lower P/E ratio than its peers can signify a less expensive stock or lower growth expectations.
OVTI is trading at a discount to its peers.
Neutral. The P/CF ratio is the stock’s price divided by the sum of the company's cash flow from operations. It is useful for comparing companies with different capital requirements or financing structures.
Ratio not available.
|OVTI 12.43||Peers 16.91||OVTI NM||Peers 0.75|
Average. An average price-to-projected earnings ratio can signify an industry neutral stock price and average future growth expectations.
OVTI is trading at a valuation on par with its peers.
Neutral. The PEG ratio is the stock’s P/E divided by the consensus estimate of long-term earnings growth. Faster growth can justify higher price multiples.
OVTI's negative PEG ratio makes this valuation measure meaningless.
|OVTI 1.20||Peers 4.39||OVTI -45.86||Peers 48.51|
Discount. A lower price-to-book ratio makes a stock more attractive to investors seeking stocks with lower market values per dollar of equity on the balance sheet.
OVTI is trading at a significant discount to its peers.
Lower. Elevated earnings growth rates can lead to capital appreciation and justify higher price-to-earnings ratios.
However, OVTI is expected to significantly trail its peers on the basis of its earnings growth rate.
|OVTI 1.08||Peers 3.79||OVTI -12.42||Peers 13.57|
Discount. In the absence of P/E and P/B multiples, the price-to-sales ratio can display the value investors are placing on each dollar of sales.
OVTI is trading at a significant discount to its industry on this measurement.
Lower. A sales growth rate that trails the industry implies that a company is losing market share.
OVTI significantly trails its peers on the basis of sales growth
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