Revlon, Inc. (REV) is a Household & Personal Products company in the Consumer Defensive sector, currently trading at $3.90. It has a SharesGrow Score of 16/100, indicating a weak investment profile with 0 out of 7 criteria passed.
Financials: revenue is $1.1B, -20.1%/yr average growth. Net income is $678M (loss), growing at -151.2%/yr. Net profit margin is -63% (negative). Gross margin is 53.4% (-3.1 pp trend).
Balance sheet: total debt is $747M against $483M equity (Debt-to-Equity (D/E) ratio 1.55, leveraged). Current ratio is 0.96 (tight liquidity). Debt-to-assets is 30%. Total assets: $2.5B.
Analyst outlook: 0 / 2 analysts rate REV as buy (0%) — mixed sentiment.
SharesGrow 7-Criteria breakdown: Value ?/100 (Fail), Growth 15/100 (Fail), Past 0/100 (Fail), Health 0/100 (Fail), Moat 53/100 (Partial), Future 20/100 (Fail), Income 10/100 (Fail).