Top Two Shares to Discuss: Henry Schein, Inc. (NASDAQ:HSIC), Marriott International (NASDAQ:MAR)

Henry Schein, Inc. (NASDAQ:HSIC)

Henry Schein, Inc. (NASDAQ:HSIC) closed at $58.79 on the last trading session with an decrease of -0.93%, whereas, it previously closed at $59.34. The company has a market capitalization of $9.11 Billion. The company traded shares of 1.11 Million on the trading day while its three month average volume stands at 2.13 Million.

Now to discuss some of the Earning per Share estimates and growth estimates, shares of Henry Schein, Inc. (NASDAQ:HSIC) produced diluted EPS of 3.41. The EPS estimate for next year as estimated by analysts is at 3.73 while EPS for next quarter is estimated at 0.76. Earnings per Share growth for this year is reported at -1.8, while the analysts estimated the EPS growth for next year at 3.73% and Earnings growth for next 5 years stands at 5.25% as estimated by the analysts. While Annual EPS Growth rate for past five years as reported by the company is at 6.7%.

Some important ratios are also vital to discuss the performance of the company and its shares. The P/E or Price to Earnings ratio of Henry Schein, Inc. (NASDAQ:HSIC) is at 17.24 while the forward p/e is at 15.75. The P/S or Price to Sales ratio of Henry Schein, Inc. (NASDAQ:HSIC) stands at 0.69 and Price to Book or P/B for the most recent quarter stands at 3.01. The Price to Free Cash Flow ratio or P/FCF is reported at 15.34. The quick ratio and the current ratio of Henry Schein, Inc. (NASDAQ:HSIC) are reported at 0.7 and 1.3 respectively. The Return on Assets ROA, Return On Earnings ROE and ROI Return On Investment for Henry Schein, Inc. (NASDAQ:HSIC) stands at 6.6, 18.2 and 11.9 respectively

The trailing twelve month Revenue of Henry Schein, Inc. (NASDAQ:HSIC) is reported at 13.2 Billion with income of 524.2 Million. The outstanding shares of Henry Schein, Inc. (NASDAQ:HSIC) are 155 Million. The institutional Ownership of the shares of 0 stands at 0.80%, this figure is decreased -2.71 in the last six months. The insider ownership for the shares of Henry Schein, Inc. (NASDAQ:HSIC) is ticked at 0.9%, the figure is plummeted -7.22% in the last six months.

Some other important financial aspects to be discussed here for Henry Schein, Inc. (NASDAQ:HSIC) is the Mean Target Price estimated by the analysts which stands at 63.15. The 52 week high of Henry Schein, Inc. (NASDAQ:HSIC) is placed at 71.61 and 52 week low is standing at 50.74.

Performance wise the shares of Henry Schein, Inc. (NASDAQ:HSIC) fell down -2.21% for the week, it also rise 0.51% for the monthly performance, while for the quarter it went down 0.85%. The shares decrease -10.37% for the half year and plummeted for the Year-To-Date performance. The shares of Henry Schein, Inc. (NASDAQ:HSIC) grew 14.43% for the yearly performance.

Marriott International (NASDAQ:MAR)

Marriott International (NASDAQ:MAR) closed at $122.17 on the last trading session with an decrease of -1.12%, whereas, it previously closed at $123.56. The company has a market capitalization of $41.68 Billion. The company traded shares of 1.92 Million on the trading day while its three month average volume stands at 2.11 Million.

Now to discuss some of the Earning per Share estimates and growth estimates, shares of Marriott International (NASDAQ:MAR) produced diluted EPS of 5.26. The EPS estimate for next year as estimated by analysts is at 6.97 while EPS for next quarter is estimated at 1.34. Earnings per Share growth for this year is reported at -2.4, while the analysts estimated the EPS growth for next year at 6.97% and Earnings growth for next 5 years stands at 18.25% as estimated by the analysts. While Annual EPS Growth rate for past five years as reported by the company is at 21.4%.

Some important ratios are also vital to discuss the performance of the company and its shares. The P/E or Price to Earnings ratio of Marriott International (NASDAQ:MAR) is at 23.21 while the forward p/e is at 17.54. The P/S or Price to Sales ratio of Marriott International (NASDAQ:MAR) stands at 2.01 and Price to Book or P/B for the most recent quarter stands at 18.77. The Price to Free Cash Flow ratio or P/FCF is reported at 33.14. The quick ratio and the current ratio of Marriott International (NASDAQ:MAR) are reported at 0.4 and 0.4 respectively. The Return on Assets ROA, Return On Earnings ROE and ROI Return On Investment for Marriott International (NASDAQ:MAR) stands at 8, 69.6 and 16.3 respectively

The trailing twelve month Revenue of Marriott International (NASDAQ:MAR) is reported at 20.76 Billion with income of 1.87 Billion. The outstanding shares of Marriott International (NASDAQ:MAR) are 341.2 Million. The institutional Ownership of the shares of 67.7 stands at 0.80%, this figure is increased 3.69 in the last six months. The insider ownership for the shares of Marriott International (NASDAQ:MAR) is ticked at 0.8%, the figure is plummeted -3.57% in the last six months.

Some other important financial aspects to be discussed here for Marriott International (NASDAQ:MAR) is the Mean Target Price estimated by the analysts which stands at 134.68. The 52 week high of Marriott International (NASDAQ:MAR) is placed at 142.19 and 52 week low is standing at 100.62.

Performance wise the shares of Marriott International (NASDAQ:MAR) fell down -1.21% for the week, it also fell -4.98% for the monthly performance, while for the quarter it went down 20.97%. The shares decrease -6.2% for the half year and flew up for the Year-To-Date performance. The shares of Marriott International (NASDAQ:MAR) shrinked -12.06% for the yearly performance.