AMC Entertainment Holdings, Inc. (AMC) is a Entertainment company in the Communication Services sector, currently trading at $1.54. It has a SharesGrow Score of 42/100, indicating a mixed investment profile with 1 out of 7 criteria passed.
Analyst consensus target is AMC = $4 (+185.1% upside).
Valuation: AMC trades at a trailing Price-to-Earnings (P/E) of -1.1 (S&P 500 average ~25) with a forward Price/Earnings-to-Growth (PEG) of 0.02.
Financials: revenue is $4.8B, +8%/yr average growth. Net income is $632M (loss), growing at -3%/yr. Net profit margin is -13% (negative). Gross margin is 75% (+7.7 pp trend).
Balance sheet: total debt is $8.1B with negative equity of -$1.9B — this means total liabilities exceed total assets. This is a warning sign that may indicate accumulated losses, aggressive share buybacks, heavy debt financing, or aggressive dividend payouts. Companies like McDonald's and Starbucks also carry negative equity due to buybacks and dividends, but investors should assess whether the business generates sufficient cash flow to service its debt and sustain payouts. Current ratio is 0.41 (tight liquidity). Debt-to-assets is 101.5%. Total assets: $8.0B.
Analyst outlook: 8 / 28 analysts rate AMC as buy (29%) — mixed sentiment.
SharesGrow 7-Criteria breakdown: Value 100/100 (Pass), Growth 40/100 (Partial), Past 0/100 (Fail), Health 25/100 (Fail), Moat 68/100 (Partial), Future 52/100 (Partial), Income 10/100 (Fail).