Sunstone Hotel Investors Inc (NYSE:SHO) files its latest 10-K with SEC for the fiscal year ended on December 31, 2018. Sunstone Hotel Investors Inc is a real estate investment trust. The company along with its subsidiaries is engaged in acquiring, owning, asset managing and renovating the full-service hotel and select focus-service hotel properties in the United States. Sunstone Hotel Investors Inc has a market cap of $3.28 billion; its shares were traded at around $14.37 with a P/E ratio of 13.70 and P/S ratio of 2.78. The dividend yield of Sunstone Hotel Investors Inc stocks is 4.80%. Sunstone Hotel Investors Inc had annual average EBITDA growth of 0.80% over the past five years.
For the last quarter Sunstone Hotel Investors Inc reported a revenue of $280.9 million, compared with the revenue of $290.2 million during the same period a year ago. For the latest fiscal year the company reported a revenue of $1.2 billion, a decrease of 2.9% from the previous year. For the last five years Sunstone Hotel Investors Inc had an average revenue growth rate of 3.5% a year.
The reported diluted earnings per share was $1.05 for the year, an increase of 78% from previous year. Over the last five years Sunstone Hotel Investors Inc had an EPS growth rate of 21.3% a year. The Sunstone Hotel Investors Inc had a decent operating margin of 15.81%, compared with the operating margin of 15.17% a year before. The 10-year historical median operating margin of Sunstone Hotel Investors Inc is 12.24%. The profitability rank of the company is 5 (out of 10).
At the end of the fiscal year, Sunstone Hotel Investors Inc has the cash and cash equivalents of $809.3 million, compared with $488.0 million in the previous year. The long term debt was $998.2 million, compared with $1 billion in the previous year. The interest coverage to the debt is 3.8. Sunstone Hotel Investors Inc has a financial strength rank of 6 (out of 10).
At the current stock price of $14.37, Sunstone Hotel Investors Inc is traded at 36.5% premium to its historical median P/S valuation band of $10.53. The P/S ratio of the stock is 2.78, while the historical median P/S ratio is 2.03. The stock lost 3.11% during the past 12 months.
For the complete 20-year historical financial data of SHO, click here.
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