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S&P 500   1,667   17.00  Index Moved Up 1.03%
LVS CCL WYNN MPEL Housewares Oil And Gas Airlines Compulsion 
United States  USA  |  Investing Opportunities


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Carnival Profit Margin

 
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Profit Margin breakdown for Carnival

Profit Margin measures overall efficiency of a company and shows its ability to withstand competition as well as defend against adverse conditions such as rising costs, falling prices, decline in sales or management distress. Profit margin tells investors how well the company executes on its overall pricing strategies as well as how effective the company in controlling its costs.

Carnival

Profit Margin

=

Net Income

Revenue

X

100

=
9.58 %
In a nutshell, Profit Margin indicator shows the amount of money the company makes from total sales or revenue. It can provide a good insight into companies in the same sector, as well as help to identify trends of a company from year to year.
Compare Carnival to competition

Carnival Profit Margin Assessment

Based on latest financial disclosure Carnival Corporation has Profit Margin of 9.58%. This is 505.93% lower than that of Services sector, and 229.21% higher than that of Resorts and Casinos industry, The Profit Margin for all stocks is 1373.85% lower than the firm.

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Profit Margin Comparison

Carnival is rated fourth in profit margin category among related companies.
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CCL United States NYSE
Carnival Corporation
Currency: USD - US Dollar
Traded on New York Stock Exchange
    
    

Other Carnival Fundamentals

Return On Equity6.25 %
Return On Asset3.01 %
Profit Margin9.58 %
Operating Margin12.16 %
Current Valuation36.15 B
Shares Outstanding775 M
Shares Owned by Insiders0.06 %
Shares Owned by Institutions29.40 %
Number of Shares Shorted9.87 M
Price to Earning18.46 times
Price to Book1.15 times
Price to Sales1.76 times
Revenue15.39 B
Gross Profit5.06 B
EBITDA3.41 B
Net Income1.47 B
Cash and Equivalents477 M
Cash per Share0.62 times
Total Debt9.41 B
Debt to Equity0.40 times
Current Ratio0.26 times
Book Value Per Share30.35 times
Cash Flow from Operations3.08 B
Short Ratio2.00 times
One Year High39.95
One Year Low30.65
Earnings Per Share1.90 times
Price to Earnings To Growth1.23 times
Number of Employees89.7 K
Beta1.43
Market Capitalization27.13 B
Total Asset38.68 B
Retained Earnings18.32 B
Working Capital(4.99 B)
Current Asset1.79 B
Current Liabilities6.78 B
Z Score1.2
Probability Of Bankruptcy43.40 %


 
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