Atlanta, Georgia-based Oxford Industries, Inc (NYSE:OXM) announced a lower fiscal Q4 profit on Tuesday that failed to meet Wall Street forecasts, mainly hurt by lower operating margin. But at the same time, the company booked double-digit expansion in sales and surpassed forecasts.
Apparel retailer provided some soft earnings and sales guidance for fiscal Q1. Oxford also lifted its quarterly cash dividend by 20% to $0.18 a share.
The company declared fiscal Q4 net earnings was $5.3 million or $0.32 a share, evaluated against $7 million or $0.43 a share in a year ago.
Quarterly adjusted earnings without few items were $10.9 million or $0.65 a share for three months period, evaluated against $10 million or $0.61 a share in a year earlier. Thomson Reuters analysts survey forecasted quarterly earnings of $0.70 a share.
Oxford Industries, Inc.’sYTD performance was recorded as 12.61% while its market capitalization was $862.60million. The company has P/B ratio of 3.80while P/E ratio was booked as 26.02. Institutional ownership owns 83.81% shares of the company while beta factor, which is used to measure riskiness of the security, was 2.23. Net profit margin of the company was 4.04% while its gross profit margin was 54.70%.
China Xiniya Fashion Ltd (ADR)(NYSE:XNY) has market capitalization of $80.31billion. Its current ratio was 4.06while its shares were looking forward SMA50 with 0.46. The company offered earnings per share of 0.65while its 57.78million shares were outstanding. YTD performance of the stock was 19.83%.
PVH Corp(NYSE:PVH)has the market capitalization of $7.48billion. The company’s EPS was 5.78while its 70.65million shares were outstanding. Its insider ownership was 0.43%. Shares of the company were moving behind of SMA50 with -10.46% while its YTD performance was -4.53%.
Delta Apparel, Inc.(NYSE:DLA)’s YTD performance was recorded as 13.52% while its market capitalization was $129.62 billion. The company has P/B ratio of 0.93while P/E ratio was booked as 13.34. Institutional ownership owns 71.57% shares of the company while beta factor, which is used to measure riskiness of the security, was 0.70. Net profit margin of the company was 2.08% while its gross profit margin was 21.48%.
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