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Asset logo for symbol AZO
AutoZone
AZO57
$3,283.48arrow_drop_up0.83%$27.00
S&P500
Asset logo for symbol AZO
AZO57

$3,283.48

arrow_drop_up0.83%
Key Stats
Open$3,269.00
Prev. Close$3,242.23
EPS149.40
DividendNon-Dividend
Next Earnings Date-
Dividend Yield %-
LOWHIGH
Day Range2,865.00
3,332.99
52 Week Range2,375.35
3,417.74
Ratios
EPS149.40
Fundamentals
Debt/Equity Ratio-
Payout Ratio-
Industry average yield2.90%
Last Dividend pay date-
Dividend per share-
Dividend yield forecast-

Stock Analysis

Technicals

Summarizing what the indicators are suggesting.

Strong Buy
Buy
Neutral
Sell
Strong Sell

Analyst rating

An aggregate view of professional's ratings.

Strong Buy
Buy
Neutral
Sell
Strong Sell

Stock Performance

AZO-
US Consumer Cyclical Sector-
US Market-
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AZO / Market

AZO lose to the US Market which returned 1.00% over the last twenty four hours.
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AZO / Consumer Cyclical Sector

AZO matched the US Consumer Cyclical sector which returned 0.85% over the last twenty four hours.

AutoZone (AZO) Statistics

AutoZone Inc (AZO) is an American retailer of automotive parts and accessories. The company was founded in 1979 and is headquartered in Memphis, Tennessee. AutoZone operates over 6,000 stores across the United States, Mexico, and Brazil, making it one of the largest automotive parts retailers in the world.
When looking at the valuation metrics of AutoZone Inc, several key factors stand out. The company has a market capitalization of over $30 billion, with a price-to-earnings (P/E) ratio of around 19. This suggests that investors are willing to pay a premium for the company's earnings. Additionally, AutoZone has a price-to-sales (P/S) ratio of approximately 2.3, indicating that the company's sales are valued fairly compared to its market capitalization.
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Frequently Asked Questions

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How has AutoZone (AZO) stock's performance compared to its sector and the market over the past year?

Over the past year, AutoZone (AZO) has experienced a price change of . Compared to the Consumer Cyclical sector, which saw a change of 25.35%, AutoZone has underperformed compared to its sector, indicating its relative standing within the Consumer Cyclical sector. Against the broader market's change of 22.28%, it has fallen short of the market average. This comparison highlights AutoZone 's performance relative to both its sector and the overall market over the last year.
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What is the PE ratio of AutoZone (AZO) stock?

The PE (Price to Earnings) ratio of AutoZone (AZO) is currently 21.98. This metric is used to evaluate the valuation of a company's stock, comparing its current share price relative to its per-share earnings.
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What is the EPS of AutoZone (AZO) stock?

The Earnings Per Share (EPS) for AutoZone (AZO), calculated on a diluted basis, is $149.4. EPS is a key indicator of a company's profitability, showing the portion of a company's profit allocated to each outstanding share of common stock.
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What is the operating margin of AutoZone (AZO) stock?

The operating margin for AutoZone (AZO) is 20.9%. This metric represents the percentage of revenue that remains after paying for variable production costs, indicating the efficiency and profitability of the company's core business operations.
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What is the EBITDA of AutoZone (AZO) stock?

The EBITDA (Earnings Before Interest, Taxes, Depreciation, and Amortization) of AutoZone (AZO) is $4.35B. EBITDA is a widely used earnings metric to assess a company's operational efficiency and profitability before the impact of non-operating decisions such as financing, accounting, and tax environments.
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How much debt does AutoZone (AZO) have?

AutoZone (AZO) has a total debt of $12.65B. The net debt, which accounts for cash and cash equivalents against the total debt, is $11.96B.

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