Home
Username :
Password :
Forgot Password
Bulletins
Daily Market Analysis
News Alerts
Psychology
Commentary
Investor's Education
Investing 101
Candle Stick Studies
Market Watching
Minimum Risk Entries
Momentum Investing
Sector Rotation
Wealth Academy Portfolio
Wealth Academy Portfolio
Wealth Academy Trader
5-Day Pre-Earnings Game
Fish & Tips
Options Strategies
Seminars And Workshops
Wealth Academy
Patterns of Excellence
Wealth Academy Trader
Forum
Archive
About Us
Terms of Use
Home > Shares > Analysis
 
Nike Inc ( NKE )  
     
Comapny name : Nike Inc
Share : NKE Analysis date : 17-Mar-2008
Stock exchange : NYSE Rating : 7/9
 
1 History of Consistently Increasing EPS, Sales & Cash Flow.
  1) EPS has increased consistently over 5 years? Yes
  2) Sales has increased Consistently over 5 years? Yes
  3) Cash Flow has increased consistently over 5 years? Yes
  4) What is the historical/projected EPS growth rate? 14.10%
 
2 Sunstainable Competitive Advantage
  1) The company has a sustainable competitive advantage? Yes
 
Nike sells its products to retail accounts, through NIKE-owned retail stores, and through a mix of independent distributors and licensees, in over 180 countries worldwide.
3 Future Growth Drivers
  1) The company has future growth drivers in place? Yes
 
Nike is set to grow even faster than its industry in the next 5 years.
4 Conservative Debt
  1) The company has Long Term Debt <3x Net Profit? Yes
  2) Long-Term Debt is $ 409.90 million
  3) Net Profit is $ 1,491.50 million
 
5 High & Consistent ROE and ROA
  1) The company has ROE>12-15% over 5 years? Yes
  2) The company has ROA>7% over 5 years? Yes
 
6 Low CAPEX for Maintenance of Current Operations? (Not a key criterion)
  1) The business requires low CAPEX for maintenance of Current operations? Yes
  2) Is ( Free Cash Flow/Sales Revenue )>5%? Yes
 
7 Management is Holding/Buying the Stock
  1) Key Management has not been selling large Proportion of company stock? No
 
Philip Knight recently sold off over $40 million of shares.
8 The Stock Price is Selling at a Discount (High Margin of Safety)
  1) Current operating cash flow/EPS $1,878.70 million (cash flow)
  2) Projected Earnings Growth Rate 14.10%
  3) Number of shares outstanding 509 million
  4) Intrinsic Value $59.95
  5) Share price is below intrinsic value? Yes
 
9 Stock Price is Consolidating or on an Uptrend
  1) Stock price breaking out of consolidating Yes
  2) Stock price at a dip on a uptrend Yes
  3) Stock price above 20 or 50 day moving average No
 
 
Copyright © 2008 Wealth Academy . All rights reserved.
Design and Developed by eLuminous Technologies