Tiffany & Co.

United States of America Country flag United States of America
Sector: Specialty Retailers
Ticker: TIF
Factsheet Factsheet
INACTIVE

Risk Analysis of Tiffany & Co. ( TIF | USA)

"The Risk Score is a relevant measure for the assessment of a stock attractiveness. Tiffany & Co. shows a Risk Score of N/A.
0 corresponds to a very high risk and 10 corresponds to a very low risk."
The Risk Score for Tiffany & Co. is lower than its peer group's. This means that Tiffany & Co. is more risky than its peer group.

Valuation
EV/EBITDA LastEV/EBITDA(e) 2025EV/EBITDA NTM
International PeersFree trialFree trialFree trial
Specialty RetailersN/A6.836.53
N/AN/AN/AN/A
United States of AmericaN/A8.158.18
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Betanull
Levered betaUnlevered beta
1-YearN/AN/A
2-YearN/AN/A
3-YearN/AN/A
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Stock Perf excl. Dividends (in N/A)
TIFN/ARel. Perf.
Year-to-DateN/AN/AN/A
1-WeekN/AN/AN/A
1-MonthN/AN/AN/A
1-YearN/AN/AN/A
3-YearN/AN/AN/A
5-YearN/AN/AN/A
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GPRV Analysis
GPRV® analysis is not available due to one of the
following reasons:
  • - Company is not covered by analysts (no estimates)
  • - Company is an insurance company
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International Peers - Tiffany & Co.
Company NameCtryMarket
Cap.
last (mUSD)
Tiffany & Co.USAN/A
International Peers Median
Chow Sang Sang Holdings...BMU661
Lao Feng Xiang Co., Ltd...CHN2 797
Express Inc.USAN/A
Jubilee Enterprise PCLTHA37.56
Studio Retail Group PlcGBRN/A
Net Sales
No data available for this instrument.
Quotes Chart

1-Year Rebased Stock Chart

  • Tiffany & Co.
Created with Highcharts 4.1.7
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About Stock Risk Analysis

To analyze and assess the risk of a company, several indicators are important to look at including liquidity / volatility / debt level and capital structure. In GPRV, the aggregated Risk Score is the average of the risk indicators' scores.

Beta
The Beta is a quantitative measure of the volatility of a stock relatively to the volatility of the market. The Beta currently displayed is the 1 year Beta.

Volatility
Infront Analytics uses a method of estimating volatilities based on 3 months (62 business days) historical market value fluctuations.

Volume (3-Month daily average)
Volume indicator is the average of the daily volume over the last three months in $ millions.

Market Cap
Last close Market Capitalization in $ millions.

Net Debt/Market Cap
This is the Solvency measure, it guarantees that the company has a sound capital structure.
Calculation:
Last published net debt / Last market cap.