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Stock: ROG
Book Value Per Share: $66.67
EPS: $2.225
EBITDA: $90 M
Dividend Per Share: $None
Dividend Yield: 0.00 %
Dividend Payout Ratio: 0%
Market Cap: 1.490 B
Return on Assets (TTM): 1.64%
Price To Sales Ratio TTM: 1.872
Price To Book Ratio: 1.229
PEG Ratio: 0.771
EV To EBITDA: 14.44
P/E Ratio: None
Forward P/E Ratio: 6.47
Ex Dividend Date: 1992-01-09
Dividend Date: None
Shares Outstandig: 18 M
Return on Equity (TTM): -5.25%
Current Price: $83.24
Previous Close: $82.2
52 Week Low: $51.43
52 Week High: $114.05
Earning Date (within 30 days): N/A
50 Day MA: $76.33
200 Day MA: $76.62
Link to Yahoo (Key Statistics): ROG
Link to Yahoo (Analysis): ROG
Link to Yahoo (Summary): ROG
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* Note: Prices are in Million (M) USD.
Description:
Rogers Corporation (ROG)
Rogers Corporation is a leading global provider of innovative engineered materials, specializing in advanced applications across diverse sectors, including telecommunications, automotive, medical, and consumer electronics. Headquartered in Chandler, Arizona, Rogers focuses on high-performance materials that enhance the efficiency and reliability of modern technologies. With a commitment to research and development, the company is well-positioned to capitalize on emerging trends in connectivity and sustainable solutions, making it an attractive investment for institutional stakeholders seeking exposure to growth in critical industries.
These criteria used Company's Cash, EBITDA and Debt balance to determines its fair value:
Cash : $157 M
Debt : $4 M
EBITDA : $-7 M

Since Ebitda is less than 0, 0 points assigned.
This criteria used industry in which company operates:
Sector: Information technology
Industry: Electronic components

Based on industry, 3 points assigned.
This criteria used Company's Price To Earning (P/E) Ratio to determines its fair value:
Forward PE Ratio: 37.41

Since Forward PE Ratio is greater than 35, 0 point assigned.
This criteria used Company's ability to convert Sales into free cash flow to determine fair value:
Using last 20 overlapping fiscal years (max 20).
Average Free Cash Flow: $50 M
Average Revenue: $641 M
Revenue Converted To Free Cash Flow (%): 7.8%

Since Free Cash Flow (FCF) to Revenue percentage is less than 15, 1 point assigned.
This criteria used company's growth potential to calculate its fair value:
Latest Revenue (2024-12-31): $830 M
Revenue 5 Years Ago (2019-12-31): $898 M
Total Growth over 5 Years: -7.6%
5-Year Revenue CAGR (Historical): -1.6%
Forward 5-Year CAGR (Tapered): -1.4%

Since historical Revenue CAGR is between 0 - 5, 1 point assigned.
This criteria used Company's ability to buy back its own share:
Latest Share Count (2024-12-31): $19 M
Share Count 5 Years Ago (2020-12-31): $19 M

Company is buying back its own shares, 3 points assigned.
This criteria used Company's dividend payout ratio to determine its fair value:
Next Year Earnings Per Share (EPS): $2.69
Trailing 12-Month Earnings Per Share (EPS): $1.77
Average Earnings Per Share (EPS): $2.23
Dividend Per Share (DPS): $0
Payout Ratio: 0%
Dividend Yield: 0%

Since Dividend Per Share is less than or equal to 0, 0 point assigned.

Since Dividend Yield is less than 1, 0 point assigned.
This criteria used Company's Return On Equity (ROE%) to determine its fair value:
Using last 20 valid ROE years (max 20).
Average ROE: 6.8%

Since Average ROE is less than 10, 1 point assigned.
This criteria used Company's current price to its 52 week low price to determines its fair value:
Current Price: $83.24
52-Week Low: $51.43
Threshold Price (15% Above 52-Week Low): $59.14

Since Current price is not within 15% threshold, 0 point assigned.
This criteria used Company's Market Cap to determines its fair value:
Market Capitalization: $1,490 M

Since Market Cap is less than 10B, 1 point assigned.
% Exposure to Total Portfolio
Based on the market cap, we recommend do not exceed 2% exposure of Total Portfolio.
Warren Buffett's Owners' Earnings:
Owners' Earnings (FCF/Share) (TTM ending 2025-06-30): $2.75
Owners' Earnings (FCF/Share, latest positive annual) (2024-12-31): $3.82
Note: Many fast-growing companies reinvest heavily, so Owners' Earnings may appear low. Consider other factors in your valuation.
Value-Trade has assigned 10 points to above Rogers Corporation (ROG) stock.
Last 19 Years Avg PE 24.09, Fair Value PE 12, Industry Based PE 17, RCFC Based PE 7.75, ROE Based PE 6.85, Risk-Free Anchored PE (25% MoS) 18.2. Based on these 6 values, average assigned is 14.32. Value-Trades has assined P/E value 14.31. An average (Current Year EPS + Next Year EPS) earning per share is $2.225.
Fair value using multiple P/Es (blended): $31.85 (PE 14.32 × EPS $2.23)
So the Final Fair Value is: $31.85

P/E Reference Summary
Using EPS: $2.23
Using Owners' Earnings (Latest FCF/Share): $2.75
Note: Many highly growing companies reinvest heavily back into the business,
so their Owners' Earnings may appear very low. In such cases, other criteria should be considered to assess the company’s true worth.
Source P/E Ratio Implied Fair Value
Market (1 Yr Ago)37.49$83.42
19 Yrs Avg-PE24.09$53.60
Value-Trades Assigned14.31$31.84
Owners' Earnings × 19 Yrs Avg-PE24.09$66.25

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