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AVY vs. AXON: A Head-to-Head Stock Comparison

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Here’s a clear look at AVY and AXON, comparing key factors like historical performance, profitability, financial strength, growth, dividend, and valuation.

Company Profile

SymbolAVYAXON
Company NameAvery Dennison CorporationAxon Enterprise, Inc.
CountryUnited StatesUnited States
GICS SectorMaterialsIndustrials
GICS IndustryContainers & PackagingAerospace & Defense
Market Capitalization13.32 billion USD42.89 billion USD
ExchangeNYSENasdaqGS
Listing DateFebruary 21, 1973June 19, 2001
Security TypeCommon StockCommon Stock

Historical Performance

This chart compares the performance of AVY and AXON by tracking the growth of an initial $10,000 investment in each. Use the tabs to select the desired time period. Data is adjusted for dividends and splits.

AVY vs. AXON: Growth of a $10,000 investment over the past one year.

Historical Performance at a Glance

SymbolAVYAXON
5-Day Price Return-0.39%-5.19%
13-Week Price Return-1.07%-26.50%
26-Week Price Return-5.06%-23.51%
52-Week Price Return-14.81%-7.80%
Month-to-Date Return-1.13%-24.29%
Year-to-Date Return-7.60%-6.72%
10-Day Avg. Volume0.70M1.51M
3-Month Avg. Volume0.67M0.71M
3-Month Volatility26.63%45.52%
Beta1.031.46

Profitability

Return on Equity (TTM)

AVY

31.28%

Containers & Packaging Industry

Max
33.32%
Q3
19.47%
Median
12.36%
Q1
6.76%
Min
-12.20%

In the upper quartile for the Containers & Packaging industry, AVY’s Return on Equity of 31.28% signals a highly effective use of shareholder capital to drive profitability compared to most of its peers.

AXON

9.66%

Aerospace & Defense Industry

Max
43.89%
Q3
23.64%
Median
12.98%
Q1
8.07%
Min
-2.55%

AXON’s Return on Equity of 9.66% is on par with the norm for the Aerospace & Defense industry, indicating its profitability relative to shareholder equity is typical for the sector.

AVY vs. AXON: A comparison of their Return on Equity (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Net Profit Margin (TTM)

AVY

7.93%

Containers & Packaging Industry

Max
11.45%
Q3
8.67%
Median
5.36%
Q1
3.40%
Min
-2.25%

AVY’s Net Profit Margin of 7.93% is aligned with the median group of its peers in the Containers & Packaging industry. This indicates its ability to convert revenue into profit is typical for the sector.

AXON

10.05%

Aerospace & Defense Industry

Max
14.96%
Q3
9.50%
Median
6.59%
Q1
4.45%
Min
1.01%

A Net Profit Margin of 10.05% places AXON in the upper quartile for the Aerospace & Defense industry, signifying strong profitability and more effective cost management than most of its peers.

AVY vs. AXON: A comparison of their Net Profit Margin (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Operating Profit Margin (TTM)

AVY

10.73%

Containers & Packaging Industry

Max
22.03%
Q3
12.87%
Median
9.18%
Q1
6.39%
Min
-0.41%

AVY’s Operating Profit Margin of 10.73% is around the midpoint for the Containers & Packaging industry, indicating that its efficiency in managing core business operations is typical for the sector.

AXON

-2.20%

Aerospace & Defense Industry

Max
17.97%
Q3
12.09%
Median
9.29%
Q1
6.41%
Min
-1.59%

AXON has a negative Operating Profit Margin of -2.20%. This signifies the company is unprofitable at the operational level, as its core business expenses exceed its revenue.

AVY vs. AXON: A comparison of their Operating Profit Margin (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Profitability at a Glance

SymbolAVYAXON
Return on Equity (TTM)31.28%9.66%
Return on Assets (TTM)8.14%4.39%
Net Profit Margin (TTM)7.93%10.05%
Operating Profit Margin (TTM)10.73%-2.20%
Gross Profit Margin (TTM)28.56%60.31%

Financial Strength

Current Ratio (MRQ)

AVY

1.26

Containers & Packaging Industry

Max
2.11
Q3
1.55
Median
1.33
Q1
1.14
Min
0.87

AVY’s Current Ratio of 1.26 aligns with the median group of the Containers & Packaging industry, indicating that its short-term liquidity is in line with its sector peers.

AXON

3.12

Aerospace & Defense Industry

Max
3.37
Q3
2.01
Median
1.22
Q1
1.07
Min
0.68

AXON’s Current Ratio of 3.12 is in the upper quartile for the Aerospace & Defense industry. This signifies a strong liquidity position, suggesting the company is well-equipped to cover its immediate liabilities compared to its peers.

AVY vs. AXON: A comparison of their Current Ratio (MRQ) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Debt-to-Equity Ratio (MRQ)

AVY

1.71

Containers & Packaging Industry

Max
3.86
Q3
1.96
Median
1.25
Q1
0.67
Min
0.23

AVY’s Debt-to-Equity Ratio of 1.71 is typical for the Containers & Packaging industry, indicating its use of leverage is in line with the sector norm. This suggests a balanced approach to its capital structure.

AXON

0.66

Aerospace & Defense Industry

Max
1.89
Q3
0.99
Median
0.63
Q1
0.39
Min
0.03

AXON’s Debt-to-Equity Ratio of 0.66 is typical for the Aerospace & Defense industry, indicating its use of leverage is in line with the sector norm. This suggests a balanced approach to its capital structure.

AVY vs. AXON: A comparison of their Debt-to-Equity Ratio (MRQ) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Interest Coverage Ratio (TTM)

AVY

7.97

Containers & Packaging Industry

Max
13.16
Q3
8.10
Median
3.38
Q1
2.83
Min
1.06

AVY’s Interest Coverage Ratio of 7.97 is positioned comfortably within the norm for the Containers & Packaging industry, indicating a standard and healthy capacity to cover its interest payments.

AXON

888.35

Aerospace & Defense Industry

Max
29.86
Q3
19.49
Median
7.09
Q1
2.62
Min
-7.63

With an Interest Coverage Ratio of 888.35, AXON demonstrates a superior capacity to service its debt, placing it well above the typical range for the Aerospace & Defense industry. This stems from either robust earnings or a conservative debt load.

AVY vs. AXON: A comparison of their Interest Coverage Ratio (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Financial Strength at a Glance

SymbolAVYAXON
Current Ratio (MRQ)1.263.12
Quick Ratio (MRQ)0.892.73
Debt-to-Equity Ratio (MRQ)1.710.66
Interest Coverage Ratio (TTM)7.97888.35

Growth

Revenue Growth

AVY vs. AXON: A side-by-side comparison of their Revenue Growth for the MRQ (YoY), TTM (YoY), 3-Year CAGR, and 5-Year CAGR periods.

EPS Growth

AVY vs. AXON: A side-by-side comparison of their EPS Growth for the MRQ (YoY), TTM (YoY), 3-Year CAGR, and 5-Year CAGR periods.

Dividend

Dividend Yield (TTM)

AVY

2.14%

Containers & Packaging Industry

Max
7.42%
Q3
5.04%
Median
3.96%
Q1
2.03%
Min
0.00%

AVY’s Dividend Yield of 2.14% is consistent with its peers in the Containers & Packaging industry, providing a dividend return that is standard for its sector.

AXON

0.00%

Aerospace & Defense Industry

Max
2.87%
Q3
1.46%
Median
0.58%
Q1
0.10%
Min
0.00%

AXON currently does not pay a dividend, resulting in a yield of 0%. This is a common strategy for growth-focused companies that prioritize reinvesting earnings, though it may be less typical in mature, income-oriented sectors.

AVY vs. AXON: A comparison of their Dividend Yield (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Dividend Payout Ratio (TTM)

AVY

41.17%

Containers & Packaging Industry

Max
222.75%
Q3
132.16%
Median
63.96%
Q1
27.01%
Min
0.00%

AVY’s Dividend Payout Ratio of 41.17% is within the typical range for the Containers & Packaging industry, suggesting a balanced approach between shareholder payouts and company reinvestment.

AXON

0.00%

Aerospace & Defense Industry

Max
110.40%
Q3
51.46%
Median
20.20%
Q1
4.21%
Min
0.00%

AXON has a Dividend Payout Ratio of 0%, indicating it does not currently pay a dividend. This is a common strategy for growth-oriented companies that reinvest all profits back into the business.

AVY vs. AXON: A comparison of their Dividend Payout Ratio (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Dividend at a Glance

SymbolAVYAXON
Dividend Yield (TTM)2.14%0.00%
Dividend Payout Ratio (TTM)41.17%0.00%

Valuation

Price-to-Earnings Ratio (TTM)

AVY

19.21

Containers & Packaging Industry

Max
19.86
Q3
18.86
Median
16.72
Q1
13.58
Min
6.36

A P/E Ratio of 19.21 places AVY in the upper quartile for the Containers & Packaging industry. This high valuation relative to peers suggests the market holds elevated expectations for the company’s future growth.

AXON

166.73

Aerospace & Defense Industry

Max
94.22
Q3
53.31
Median
32.27
Q1
24.64
Min
14.57

At 166.73, AXON’s P/E Ratio is exceptionally high, exceeding the typical maximum for the Aerospace & Defense industry. This suggests the stock may be significantly overvalued compared to its peers and implies high market expectations that could be difficult to meet.

AVY vs. AXON: A comparison of their Price-to-Earnings Ratio (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Price-to-Sales Ratio (TTM)

AVY

1.52

Containers & Packaging Industry

Max
2.02
Q3
1.14
Median
0.89
Q1
0.55
Min
0.31

AVY’s P/S Ratio of 1.52 is in the upper echelon for the Containers & Packaging industry. This means the company is valued richly on its revenue stream compared to its peers, suggesting the stock is priced for a high level of future performance.

AXON

16.76

Aerospace & Defense Industry

Max
7.20
Q3
3.95
Median
2.35
Q1
1.71
Min
0.32

With a P/S Ratio of 16.76, AXON trades at a valuation that eclipses even the highest in the Aerospace & Defense industry. This implies the market has priced in exceptionally optimistic scenarios for future revenue growth, posing considerable valuation risk.

AVY vs. AXON: A comparison of their Price-to-Sales Ratio (TTM) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Price-to-Book Ratio (MRQ)

AVY

5.66

Containers & Packaging Industry

Max
4.37
Q3
2.85
Median
2.17
Q1
1.46
Min
0.76

At 5.66, AVY’s P/B Ratio is at an extreme premium to the Containers & Packaging industry. This signifies that the market’s valuation is heavily reliant on future potential rather than its current net asset value, which can be a high-risk proposition.

AXON

18.61

Aerospace & Defense Industry

Max
18.61
Q3
9.58
Median
5.45
Q1
3.11
Min
0.94

AXON’s P/B Ratio of 18.61 is in the upper tier for the Aerospace & Defense industry. This indicates that investors are paying a premium relative to the company’s net assets, a valuation that hinges on its ability to generate superior profits.

AVY vs. AXON: A comparison of their Price-to-Book Ratio (MRQ) against their respective Containers & Packaging and Aerospace & Defense industry benchmarks.

Valuation at a Glance

SymbolAVYAXON
Price-to-Earnings Ratio (TTM)19.21166.73
Price-to-Sales Ratio (TTM)1.5216.76
Price-to-Book Ratio (MRQ)5.6618.61
Price-to-Free Cash Flow Ratio (TTM)18.76165.08