Grove Collaborative Holdings (GROV)

$1.51

+0.04

(+2.72%)

Market is closed - opens 7 PM, 22 Jul 2024

Performance

  • $1.47
    $1.57
    $1.51
    downward going graph

    2.65%

    Downside

    Day's Volatility :6.25%

    Upside

    3.7%

    downward going graph
  • $1.37
    $3.81
    $1.51
    downward going graph

    9.27%

    Downside

    52 Weeks Volatility :64.04%

    Upside

    60.37%

    downward going graph

Returns

PeriodGrove Collaborative HoldingsSector (Consumer Discretionary)Index (Russel 2000)
3 Months
-7.93%
10.6%
0.0%
6 Months
-14.69%
7.4%
0.0%
1 Year
-29.44%
9.9%
0.0%
3 Years
-84.54%
4.8%
-19.4%

Highlights

Market Capitalization
56.1M
Book Value
$0.2
Earnings Per Share (EPS)
-0.99
Wall Street Target Price
3.0
Profit Margin
-13.91%
Operating Margin TTM
-1.0%
Return On Assets TTM
-9.12%
Return On Equity TTM
-148.42%
Revenue TTM
241.3M
Revenue Per Share TTM
6.81
Quarterly Revenue Growth YOY
-25.2%
Gross Profit TTM
154.7M
EBITDA
-19.7M
Diluted Eps TTM
-0.99
Quarterly Earnings Growth YOY
0.0
EPS Estimate Current Year
-0.55
EPS Estimate Next Year
-0.07
EPS Estimate Current Quarter
-0.16
EPS Estimate Next Quarter
-0.17

Analyst Recommendation

Buy
    87%Buy
    12%Hold
    0
    0%Sell
Based on 8 Wall street analysts offering stock ratings for Grove Collaborative Holdings(by analysts ranked 0 to 5 stars)
Based on 8 analyst
  • Current
  • 1M Ago
  • 3M Ago
Buy
7
7
7
Hold
1
1
1
Sell
00
00
00

Analyst Forecast

What analysts predicted

Upside of 98.68%

Current $1.51
Target $3.00

Company Financials

FY18Y/Y Change
Revenue
104.9M
↑ 74848.57%
Net Income
-81.7M
-
Net Profit Margin
-77.86%
-
FY19Y/Y Change
Revenue
233.1M
↑ 122.17%
Net Income
-161.5M
↑ 97.65%
Net Profit Margin
-69.27%
↑ 8.59%
FY20Y/Y Change
Revenue
364.3M
↑ 56.26%
Net Income
-72.3M
↓ 55.25%
Net Profit Margin
-19.84%
↑ 49.43%
FY21Y/Y Change
Revenue
383.7M
↑ 5.33%
Net Income
-135.9M
↑ 88.07%
Net Profit Margin
-35.42%
↓ 15.58%
FY22Y/Y Change
Revenue
321.5M
↓ 16.2%
Net Income
-87.7M
↓ 35.45%
Net Profit Margin
-27.28%
↑ 8.14%
FY23Y/Y Change
Revenue
259.3M
↓ 19.36%
Net Income
-43.2M
↓ 50.71%
Net Profit Margin
-16.67%
↑ 10.61%
Q4 FY22Q/Q Change
Revenue
74.0M
↓ 4.76%
Net Income
-12.7M
↓ 265.53%
Net Profit Margin
-17.13%
↓ 26.99%
Q1 FY23Q/Q Change
Revenue
71.6M
↓ 3.34%
Net Income
-13.1M
↑ 3.04%
Net Profit Margin
-18.26%
↓ 1.13%
Q2 FY23Q/Q Change
Revenue
66.1M
↓ 7.63%
Net Income
-10.9M
↓ 16.85%
Net Profit Margin
-16.44%
↑ 1.82%
Q3 FY23Q/Q Change
Revenue
61.8M
↓ 6.59%
Net Income
-9.8M
↓ 9.72%
Net Profit Margin
-15.89%
↑ 0.55%
Q4 FY23Q/Q Change
Revenue
59.9M
↓ 3.07%
Net Income
-9.5M
↓ 3.32%
Net Profit Margin
-15.85%
↑ 0.04%
Q1 FY24Q/Q Change
Revenue
53.5M
↓ 10.55%
Net Income
-3.4M
↓ 64.25%
Net Profit Margin
-6.33%
↑ 9.52%
FY12Y/Y Change
Total Assets
29.0K
-
Total Liabilities
1.4M
-
FY19Y/Y Change
Total Assets
87.7M
↑ 302324.14%
Total Liabilities
88.6M
↑ 6059.74%
FY20Y/Y Change
Total Assets
269.7M
↑ 207.54%
Total Liabilities
121.4M
↑ 37.1%
FY21Y/Y Change
Total Assets
182.5M
↓ 32.35%
Total Liabilities
150.8M
↑ 24.2%
FY22Y/Y Change
Total Assets
174.0M
↓ 4.62%
Total Liabilities
147.5M
↓ 2.2%
FY23Y/Y Change
Total Assets
150.7M
↓ 13.39%
Total Liabilities
132.6M
↓ 10.1%
Q4 FY22Q/Q Change
Total Assets
174.0M
↓ 14.34%
Total Liabilities
147.5M
↓ 17.2%
Q1 FY23Q/Q Change
Total Assets
165.6M
↓ 4.86%
Total Liabilities
137.9M
↓ 6.53%
Q2 FY23Q/Q Change
Total Assets
157.9M
↓ 4.65%
Total Liabilities
136.7M
↓ 0.83%
Q3 FY23Q/Q Change
Total Assets
161.0M
↑ 1.96%
Total Liabilities
136.9M
↑ 0.1%
Q4 FY23Q/Q Change
Total Assets
150.7M
↓ 6.35%
Total Liabilities
132.6M
↓ 3.11%
Q1 FY24Q/Q Change
Total Assets
137.9M
↓ 8.54%
Total Liabilities
120.3M
↓ 9.25%
FY19Y/Y Change
Operating Cash Flow
-124.8M
-
Investing Cash Flow
-12.3M
-
Financing Cash Flow
107.4M
↑ 48518.55%
FY20Y/Y Change
Operating Cash Flow
-83.7M
↓ 32.97%
Investing Cash Flow
-4.8M
↓ 60.84%
Financing Cash Flow
228.2M
↑ 112.36%
FY21Y/Y Change
Operating Cash Flow
-127.1M
↑ 51.92%
Investing Cash Flow
-5.8M
↑ 19.67%
Financing Cash Flow
34.7M
↓ 84.79%
FY22Y/Y Change
Operating Cash Flow
-96.3M
↓ 24.26%
Investing Cash Flow
-4.2M
↓ 26.8%
Financing Cash Flow
118.1M
↑ 240.22%
Q4 FY22Q/Q Change
Operating Cash Flow
-6.7M
↓ 71.32%
Investing Cash Flow
-642.0K
↓ 33.81%
Financing Cash Flow
-661.0K
↓ 84.35%
Q1 FY23Q/Q Change
Operating Cash Flow
-6.7M
↑ 0.34%
Investing Cash Flow
-784.0K
↑ 22.12%
Financing Cash Flow
2.8M
↓ 527.69%
Q2 FY23Q/Q Change
Operating Cash Flow
1.2M
↓ 117.29%
Investing Cash Flow
-755.0K
↓ 3.7%
Financing Cash Flow
-2.0M
↓ 169.54%
Q3 FY23Q/Q Change
Operating Cash Flow
-3.5M
↓ 403.0%
Investing Cash Flow
-844.0K
↑ 11.79%
Financing Cash Flow
9.4M
↓ 577.37%

Technicals Summary

Sell

Neutral

Buy

Grove Collaborative Holdings is currently in a favorable trading position ( BUY ) according to technical analysis indicators.

Peers

Company Name1 Month6 Month1 Year3 Years5 Years
Grove Collaborative Holdings
Grove Collaborative Holdings
-7.93%
-14.69%
-29.44%
-84.54%
-84.51%
Colgate-palmolive Co.
Colgate-palmolive Co.
1.17%
21.96%
27.38%
18.61%
35.56%
Estée Lauder Companies Inc.
Estée Lauder Companies Inc.
-12.0%
-20.78%
-45.58%
-69.34%
-47.42%
Procter & Gamble Company, The
Procter & Gamble Company, The
0.17%
13.59%
11.56%
20.24%
45.67%
Kenvue Inc.
Kenvue Inc.
-3.13%
-10.71%
-25.54%
-32.16%
-32.16%
Kimberly-clark Corp.
Kimberly-clark Corp.
2.5%
17.4%
6.5%
4.28%
6.98%
Company NameP/E RatioP/B RatioPEG RatioEPSROEROADiv YieldBVPS
Grove Collaborative Holdings
Grove Collaborative Holdings
0.14
NA
NA
-0.55
-1.48
-0.09
NA
0.2
Colgate-palmolive Co.
Colgate-palmolive Co.
31.27
31.27
2.15
3.53
0.53
0.16
0.02
0.28
Estée Lauder Companies Inc.
Estée Lauder Companies Inc.
54.44
54.44
1.6
2.24
0.1
0.03
0.03
16.02
Procter & Gamble Company, The
Procter & Gamble Company, The
27.49
27.49
3.28
6.55
0.32
0.11
0.02
20.87
Kenvue Inc.
Kenvue Inc.
23.83
23.83
2.11
1.14
0.1
0.06
0.04
5.55
Kimberly-clark Corp.
Kimberly-clark Corp.
26.35
26.35
1.57
7.13
1.81
0.11
0.03
3.1
Company NameAnalyst ViewMarket Cap5 Years Return %PE RatioProfit Margin
Grove Collaborative Holdings
Grove Collaborative Holdings
Buy
$56.1M
-84.51%
0.14
-13.91%
Colgate-palmolive Co.
Colgate-palmolive Co.
Buy
$80.8B
35.56%
31.27
13.22%
Estée Lauder Companies Inc.
Estée Lauder Companies Inc.
Hold
$34.7B
-47.42%
54.44
4.18%
Procter & Gamble Company, The
Procter & Gamble Company, The
Buy
$396.4B
45.67%
27.49
17.99%
Kenvue Inc.
Kenvue Inc.
Buy
$35.6B
-32.16%
23.83
9.63%
Kimberly-clark Corp.
Kimberly-clark Corp.
Hold
$48.4B
6.98%
26.35
9.05%

Insights on Grove Collaborative Holdings

  • Decreasing Revenue

    Revenue is down for the last 9 quarters, 90.47M → 53.54M (in $), with an average decrease of 6.3% per quarter

  • Increasing Net Profit

    Netprofit is up for the last 5 quarters, -13.06M → -3.39M (in $), with an average increase of 53.5% per quarter

  • Vs CL

    In the last 1 year, Colgate-palmolive Co. has given 27.4% return, outperforming this stock by 56.8%

  • Vs PG

    In the last 3 years, Procter & Gamble Company, The has given 18.6% return, outperforming this stock by 103.1%

Institutional Holdings

  • NVP Associates LLC

    7.71%
  • Morgan Stanley - Brokerage Accounts

    6.43%
  • OZ Management LLC

    3.12%
  • General Atlantic Llc

    2.45%
  • Vanguard Group Inc

    2.40%
  • Glynn Capital Management, LLC

    1.74%

Company Information

Organization
Grove Collaborative Holdings
Employees
408
CEO
Mr. Stuart Landesberg
Industry
Information Technology Services

FAQs