FCF Yield
Updated 128h ago
Sector Performance
64th percentileINVH
5.5%
Sector Median
4.2%
Sector Avg
7.7%
Deep Analysis
The current FCF Yield of 5.5% means that for every $100 invested in INVH, the company generates $5.50 in free cash flow (the cash left after operating expenses and capital spending) — a measure of financial health similar to a dividend yield but from actual cash earnings.
This yield sits above the sector median of 4.2%, placing INVH in the 64th percentile among its peers, indicating better-than-average cash generation relative to its stock price. The trend over the last eight quarters is stable, with no year-over-year change available and a quarter-over-quarter increase of +3.8% from 5.3% to 5.5%. The combination of a yield above the sector median and a stable, slightly rising trend suggests a low-risk opportunity: cash flow is consistent without signs of deterioration, but also without acceleration that would signal above-average growth. This metric supports the overall NEUTRAL verdict: the FCF Yield is solid but not exceptional, and the stable trend provides no clear impetus to upgrade or downgrade the stock.
Frequently Asked Questions
What does the FCF Yield tell investors about INVH?
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
How is the FCF Yield calculated?
FCF Yield is calculated as: Free Cash Flow / Market Cap.
Who are INVH's closest peers by FCF Yield?
The closest peers by FCF Yield include: FMC (-12.9%), NCLH (-13.0%), XEL (-13.6%), SG (-13.6%), GS (-14.0%).
The Formula
Free Cash Flow / Market Cap
Why It Matters
One of the purest measures of value. High FCF yield means the company generates a lot of cash relative to its price — favoured by value investors.
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5.5%
Sector Median
4.2%
Sector Avg
7.7%
How INVH's FCF Yield compares to sector peers.
Also Analyze
Not financial advice. Research tool only. Data may be delayed.