Contrasting Cameron International (CAM) and The Competition
Cameron International (NYSE: CAM) is one of 46 publicly-traded companies in the “Oil Related Services and Equipment” industry, but how does it contrast to its rivals? We will compare Cameron International to related companies based on the strength of its dividends, institutional ownership, valuation, profitability, risk, analyst recommendations and earnings.
This table compares Cameron International and its rivals’ net margins, return on equity and return on assets.
|Net Margins||Return on Equity||Return on Assets|
|Cameron International Competitors||-11.04%||-3.41%||-2.82%|
66.3% of shares of all “Oil Related Services and Equipment” companies are owned by institutional investors. 12.2% of shares of all “Oil Related Services and Equipment” companies are owned by insiders. Strong institutional ownership is an indication that endowments, large money managers and hedge funds believe a stock is poised for long-term growth.
This is a summary of recent ratings and recommmendations for Cameron International and its rivals, as reported by MarketBeat.
|Sell Ratings||Hold Ratings||Buy Ratings||Strong Buy Ratings||Rating Score|
|Cameron International Competitors||417||2110||2937||117||2.49|
As a group, “Oil Related Services and Equipment” companies have a potential upside of 27.78%. Given Cameron International’s rivals higher possible upside, analysts plainly believe Cameron International has less favorable growth aspects than its rivals.
Earnings & Valuation
This table compares Cameron International and its rivals top-line revenue, earnings per share and valuation.
|Gross Revenue||Net Income||Price/Earnings Ratio|
|Cameron International Competitors||$1.93 billion||-$335.81 million||-712.78|
Cameron International’s rivals have higher revenue, but lower earnings than Cameron International. Cameron International is trading at a higher price-to-earnings ratio than its rivals, indicating that it is currently more expensive than other companies in its industry.
Volatility and Risk
Cameron International has a beta of 0.68, indicating that its share price is 32% less volatile than the S&P 500. Comparatively, Cameron International’s rivals have a beta of 1.65, indicating that their average share price is 65% more volatile than the S&P 500.
Cameron International rivals beat Cameron International on 5 of the 8 factors compared.
Cameron International Company Profile
Cameron International Corporation (Cameron), incorporated on November 10, 1994, provides flow equipment products, systems and services to worldwide oil, gas and process industries. The Company operates through four business segments: Subsea, Surface, Drilling and Valves & Measurement (V&M). The Subsea segment delivers integrated solutions, products, systems and services to the subsea oil and gas market, including integrated subsea production systems. Cameron’s Surface segment designs and manufactures wellhead and Christmas tree systemsfor onshore and offshore topside applications – from conventional to high-pressure, high temperature systems, to specialized systems for dry completions and heavy oil. The Drilling segment is a global supplier of integrated drilling systems. The V&M segment’s businesses provide valves and measurement systems. Its businesses serve portions of the upstream, midstream and downstream markets.
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