NOVACAUTIOUS

NOVA Gross Margin Analysis

44.3%

Higher than 50% of Energy sector peers

Updated 2819h ago·SEC filings & market data

Key Takeaway

NOVA (NOVA) has a Gross Margin of 44.3% as of May 2026.

Sector Performance

50th percentile

NOVA

44.3%

Sector Median

44.3%

Sector Avg

58.1%

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Deep Analysis

NOVA (NOVA) has a Gross Margin of 44.3% as of May 2026.

This places NOVA in the 50th percentile of the Energy sector, which has a median Gross Margin of 44.3% and a sector average of 58.1%. NOVA's Gross Margin is 0.0% above the sector median. In context: Gross margin reveals pricing power and cost structure. Software companies often sustain 70–80%; manufacturers typically 30–50%. Expansion is a bullish signal.

Frequently Asked Questions

What does the Gross Margin tell investors about NOVA?

Gross margin reveals pricing power and cost structure. Software companies often sustain 70–80%; manufacturers typically 30–50%. Expansion is a bullish signal.

How is the Gross Margin calculated?

Gross Margin is calculated as: Gross Profit / Revenue.

How does NOVA's Gross Margin compare to its sector?

NOVA's Gross Margin of 44.3% compares to a Energy sector median of 44.3%, placing it in the 50th percentile.

Who are NOVA's closest peers by Gross Margin?

The closest Energy peers by Gross Margin include: AR (39.8%), PXD (34.2%), ARRY (28.2%), SPWR (61.4%), ENB (25.9%).

The Formula

Gross Profit / Revenue

Why It Matters

Gross margin reveals pricing power and cost structure. Software companies often sustain 70–80%; manufacturers typically 30–50%. Expansion is a bullish signal.

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NOVA

44.3%

Sector Median

44.3%

Sector Avg

58.1%

How NOVA's Gross Margin compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.