GPC Genuine Parts Co

Price (delayed)

$105.91

Market cap

$15.29B

P/E Ratio

N/A

Dividend/share

$3.16

EPS

-$0.2

Enterprise value

$17.77B

Sector: Consumer Cyclical
Industry: Specialty Retail

Highlights

GPC's debt is down by 17% year-on-year and by 6% since the previous quarter
GPC's gross margin is up by 2.4% year-on-year
The net income has dropped by 105% year-on-year but it has surged by 85% since the previous quarter
Genuine Parts's equity has decreased by 13% YoY but it has increased by 6% from the previous quarter
GPC's EPS has dropped by 105% year-on-year
The revenue has contracted by 6% YoY and by 2.9% from the previous quarter

Key stats

What are the main financial stats of GPC
Market
Shares outstanding
144.4M
Market cap
$15.29B
Enterprise value
$17.77B
Valuations
Price to earnings (P/E)
N/A
Price to book (P/B)
4.77
Price to sales (P/S)
0.93
EV/EBIT
63.33
EV/EBITDA
32.11
EV/Sales
1.07
Earnings
Revenue
$16.54B
EBIT
$280.58M
EBITDA
$553.43M
Free cash flow
$1.88B
Per share
EPS
-$0.2
Free cash flow per share
$13.04
Book value per share
$22.21
Revenue per share
$114.47
TBVPS
$69.39
Balance sheet
Total assets
$13.44B
Total liabilities
$10.22B
Debt
$3.47B
Equity
$3.2B
Working capital
$1.22B
Liquidity
Debt to equity
1.08
Current ratio
1.21
Quick ratio
0.43
Net debt/EBITDA
4.47
Margins
EBITDA margin
3.3%
Gross margin
34.2%
Net margin
-0.2%
Operating margin
2.5%
Efficiency
Return on assets
-0.2%
Return on equity
-0.9%
Return on invested capital
3.9%
Return on capital employed
3.7%
Return on sales
1.7%
Dividend
Dividend yield
2.98%
DPS
$3.16
Payout ratio
N/A

GPC stock price

How has the Genuine Parts stock price performed over time
Intraday
0.49%
1 week
3.47%
1 month
4.34%
1 year
17.44%
YTD
5.46%
QTD
5.46%

Financial performance

How have Genuine Parts's revenue and profit performed over time
Revenue
$16.54B
Gross profit
$5.65B
Operating income
$414.94M
Net income
-$29.1M
Gross margin
34.2%
Net margin
-0.2%
GPC's net margin has dropped by 106% year-on-year but it has surged by 82% since the previous quarter
The net income has dropped by 105% year-on-year but it has surged by 85% since the previous quarter
The company's operating income has shrunk by 54% YoY but it rose by 21% QoQ
Genuine Parts's operating margin has plunged by 52% YoY but it has increased by 25% from the previous quarter

Growth

What is Genuine Parts's growth rate over time

Valuation

What is Genuine Parts stock price valuation
P/E
N/A
P/B
4.77
P/S
0.93
EV/EBIT
63.33
EV/EBITDA
32.11
EV/Sales
1.07
GPC's EPS has dropped by 105% year-on-year
The P/B is 16% above the last 4 quarters average of 4.1 and 14% above the 5-year quarterly average of 4.2
Genuine Parts's equity has decreased by 13% YoY but it has increased by 6% from the previous quarter
The price to sales (P/S) is 33% higher than the last 4 quarters average of 0.7 and 3.3% higher than the 5-year quarterly average of 0.9
The revenue has contracted by 6% YoY and by 2.9% from the previous quarter

Efficiency

How efficient is Genuine Parts business performance
Genuine Parts's return on equity has shrunk by 105% YoY but it has surged by 85% QoQ
The ROA has plunged by 105% YoY but it has soared by 86% from the previous quarter
GPC's return on sales has dropped by 68% year-on-year
The company's return on invested capital has shrunk by 66% YoY

Dividends

What is GPC's dividend history
DPS
$3.16
Dividend yield
2.98%
Payout ratio
N/A
Recent dividends

Financial health

How did Genuine Parts financials performed over time
GPC's total assets is 31% greater than its total liabilities
GPC's quick ratio is down by 10% since the previous quarter but it is up by 2.4% year-on-year
Genuine Parts's total liabilities has decreased by 7% YoY and by 2.1% from the previous quarter
GPC's debt is 8% greater than its equity
GPC's debt is down by 17% year-on-year and by 6% since the previous quarter
Genuine Parts's equity has decreased by 13% YoY but it has increased by 6% from the previous quarter

All financial data is based on trailing twelve months (TTM) periods - updated quarterly, unless otherwise specified.