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Compass Group PLC

Compass Group PLC

CPGLondon Stock Exchange

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GBX 2,120.00
+0.43%
End of day
Market Cap

$38.61B

P/E Ratio

27.70

Employees

590,000

Dividend Yield

2.90%

Price Chart

Risk-Adjusted Performance

Ratio1W1M3M6M1Y5YScore
Sortino-2.39-0.82-1.60-1.47-0.770.61-0.78
Calmar-26.85-2.14-2.51-1.10-0.540.34-2.20
Sharpe-2.04-0.63-1.23-1.11-0.550.42-0.60
Omega0.170.880.790.820.921.100.88
Martin-35.78-5.44-5.45-2.12-1.311.17-3.61
Ulcer1.843.325.9411.319.367.957.90

Compass Group PLC (CPG) Price Performance

Compass Group PLC (CPG) trades on London Stock Exchange in GBX. The company is classified in the Consumer Cyclical sector under the Restaurants industry. The stock currently trades at GBX2120.00, up 0.43% from the previous close.

Over the past year, CPG has traded between a low of GBX2035.00 and a high of GBX2635.80. The stock has lost 13.3% over this period. It is currently 19.6% below its 52-week high.

Compass Group PLC has a market capitalization of $38.61B, with a price-to-earnings ratio of 27.70 and a dividend yield of 2.90%.

About Compass Group PLC

Compass Group PLC provides food and support services in North America and internationally. The company offers support services, such as cleaning in hospitals; reception services at corporate headquarters; managing remote camps; grounds and facilities services at schools and universities; insurance brokerage services; and others. It serves business and industry; healthcare and senior living; education; sports and leisure; and defense, offshore, and remote sectors. The company was founded in 1941 and is based in Chertsey, the United Kingdom.

Company Info

Industry
Restaurants
Exchange
London Stock Exchange
Currency
GBX

Financial Metrics

Revenue (TTM)
$46.07B
EBITDA
$3.54B
Profit Margin
4.05%
EPS (TTM)
0.82
Book Value
3.41

Technical Indicators

52 Week High
GBX 2,709.75
52 Week Low
GBX 2,000.00
50 Day MA
GBX 2,224.00
200 Day MA
GBX 2,437.92
Beta
0.22

Valuation

Trailing P/E
27.70
Forward P/E
18.90
Price/Sales
0.84
Price/Book
6.74
Enterprise Value
$43.42B