Better Bet Than Altria Stock: Pay Less To Get More From UVV

-8.05%
Downside
58.34
Market
53.64
Trefis
MO: Altria logo
MO
Altria

UVV is MO’s peer in Tobacco industry that has:

1) Lower valuation (P/EBIT) compared to MO
2) But higher revenue and operating income growth

This disconnect between valuation and performance could mean that you are better off buying UVV stock vs. MO

Key Metrics Compared

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Metric MO UVV
P/OpInc* 9.2x 5.6x
LTM OpInc Growth 1.3% 7.9%
3Y Avg OpInc Growth -0.4% 13.4%
LTM Revenue Growth -1.0% 7.2%
3Y Avg Revenue Growth -1.3% 12.1%

OpInc = Operating Income, P/EBIT = Price To Operating Income Ratio

Altria (MO) manufactures and sells smokeable and oral tobacco products, including cigarettes, cigars, pipe tobacco, and smokeless tobacco under various leading brands in the U.S.

This is just one approach to evaluate investments. Trefis High Quality Portfolio evaluates much more, and is designed to reduce stock-specific risk while giving upside exposure

Is The Mismatch In Stock Price Temporary

One way to check if Altria stock is expensive now versus the other tickers would be to see how these metrics compared across companies exactly a year ago. Specifically, if there has been a marked reversal in the trend for Altria in the last 12 months, then there is a chance that the current mismatch is likely to reverse. On the other hand, a persistent underperformance in revenue and operating income growth for Altria would reinforce the conclusion that the stock is expensive compared to its peers, but may not revert soon

Key Metrics Compared 1 Yr Prior

Metric MO UVV
P/OpInc* 6.8x 4.6x
LTM OpInc Growth 0.7% 28.2%
3Y Avg OpInc Growth 0.2% 15.4%
LTM Revenue Growth -0.3% 12.9%
3Y Avg Revenue Growth -1.1% 13.5%

OpInc = Operating Income

Additional Metrics To Consider

Metric MO UVV
P/S 5.3x 0.5x
Market Cap (Current) $ 106.7 Bil $ 1.4 Bil
LTM Revenue $ 20.25 Bil $ 2.95 Bil
LTM Opinc $ 11.62 Bil $ 243.37 Mil
LTM Op Margin 57.4% 8.3%

OpInc = Operating Income

Alternate buying based on valuation, while attractive, needs to be evaluated carefully from multiple angles. Such multi-factor analysis is exactly how we construct Trefis portfolio strategies. If you want upside with a smoother ride than an individual stock, consider the High Quality portfolio, which has outperformed the S&P, and clocked >91% returns since inception.