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Cabot Corp  (CBT)
Other Ticker:  
    Sector  Basic Materials    Industry Chemical Manufacturing
Price: $54.1900 $-1.03 -1.865%
Day's High: $ 55.14 Week Perf: -0.46 %
Day's Low: $ 54.01 30 Day Perf: -13.93 %
Volume (M): 330 52 Wk High: $ 68.63
Volume (M$): $ 17,856 52 Wk Avg: $ 61.72
Open: 55.14 52 Wk Low: 52.90
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 Market Capitalization (Millions $) 3,349
 Shares Outstanding (Millions) 62
 Employees 4,300
 Revenues (TTM) (Millions $) 2,966
 Net Income (TTM) (Millions $) -147
 Cash Flow (TTM) (Millions $) 46
 Capital Exp. (TTM) (Millions $) 211
Cabot Corp
Cabot is a global specialty chemicals and performance materials company headquartered in Boston, Massachusetts. Our principal products are rubber and specialty grade carbon blacks, specialty compounds, fumed metal oxides, activated carbons, inkjet colorants, aerogel, and cesium formate drilling fluids. Cabot and its affiliates have manufacturing facilities and operations in the United States and over 20 other countries. Cabot’s business was founded in 1882 and incorporated in the State of Delaware in 1960.

CBT is expected to report next financial results on November 15, 2018.

Cabot's Segments
Company Estimates
  Revenue Outlook
   Cabot does not issue revenue guidance.

  Earnings Outlook
   Cabot Corp does not provide earnings estimates.  


Xperi Corporation

Xperi Corporation announced second quarter operating deficit of $-27.606 millions

In the second quarter Xperi Corporation decreased loss of $-0.58 per share compare to $-0.79 a year ago and improved from $-0.67 per share from the previous quarter.

Sales crumbled by -29.97 % to $63.95 millions from $91.32 millions in the same quarter a year ago and sequentially Sales decreased by -2.41 % from $65.53 millions.

CBT's Valuation Current
Price to Earnings PE Ratio (TTM) -
Price to Earnings PE Ratio (Expected) -
Price to Sales (TTM) 1.13
Price to Sales (Expected) -
Price to Book 2.49
CBT's Financial Strength Current
Quick Ratio 0.21
Working Capital Ratio 1.67
Leverage Ratio (MRQ) 1.43
Total Debt to Equity 0.7
Interest Coverage (TTM) 5
Debt Coverage (TTM) 0.29
Per Share Current
Earnings (TTM) -3.01 $
Revenues (TTM) 47.99 $
Cash Flow (TTM) 0.74 $
Cash 2.9 $
Book Value 21.73 $
Dividend (TTM) 1.26 $

• View Valuation Comparisons • View Growth Rates Comparisons

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CBT's Efficiency Current
Revenue per Employee (TTM) 689,767
Net Income per Employee (TTM) -34,186
Receivable Turnover Ratio (TTM) 5.32
Inventory Turnover Ratio (TTM) 5.13
Asset Turnover Ratio (TTM) 0.93
CBT's Profitability Ratio Current
Gross Margin 23.23 %
Operating Margin -
Net Margin -
Net Cash Flow Margin -
Effective Tax Rate (TTM) 374.14 %
Management Effectiveness Current
Return On Assets (TTM) -
Return On Investment (TTM) -
Return On Equity (TTM) -
Dividend Yield 2.33 %
Payout Ratio (TTM) -
• View Efficiency Comparisons • View Profitability Comparisons • View Management Effectiveness

Customers Net Income grew by CBT's customers Net margin grew to
4.08 % 7.25 %
• Customers Performance • Customers Expend. • Customers Efficiency • List of Customers
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Major Competitors Stock performance

5 Days Decrease / Increase
CE   -100%    
PPG        2.71% 
LYB   -2.31%    
HUN   -100%    
EMN   -0.22%    
POL   -100%    
• View Complete Report


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