Return on Equity (ROE)
Updated 32h ago
Sector Performance
16th percentileOMC
2.0%
Sector Median
13.8%
Sector Avg
31.4%
Deep Analysis
Return on Equity (ROE) measures how much profit a company generates for each dollar of shareholders’ equity — a 2.0% ROE means OMC earns two cents for every dollar invested by shareholders.
That figure is well below the sector median of 13.8%, placing OMC in the 16th percentile among its peers, indicating weaker profitability relative to the industry. Trend information is unavailable: the year-over-year change is N/A, the quarter-over-quarter change is N/A, and only a single historical value (2.0%) is provided, so no direction can be determined. The combination of a very low ROE and no trend data points to a flat, underperforming position that carries higher risk, as there is no evidence of improvement. This weak profitability level contradicts any bullish outlook but aligns with the NEUTRAL verdict, since the metric does not show a clear shift — it simply confirms the stock is not a standout performer.
Frequently Asked Questions
What does the Return on Equity (ROE) tell investors about OMC?
ROE measures how effectively management turns equity into profit. Consistently above 15% is typically considered strong. Negative equity distorts this metric.
How is the Return on Equity (ROE) calculated?
Return on Equity (ROE) is calculated as: Net Income / Shareholders' Equity.
Who are OMC's closest peers by Return on Equity (ROE)?
The closest peers by Return on Equity (ROE) include: MRNA (-36.6%), FICO (-37.3%), XRAY (-37.7%), VRSN (-38.3%), MSCI (-45.3%).
The Formula
Net Income / Shareholders' Equity
Why It Matters
ROE measures how effectively management turns equity into profit. Consistently above 15% is typically considered strong. Negative equity distorts this metric.
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2.0%
Sector Median
13.8%
Sector Avg
31.4%
How OMC's Return on Equity (ROE) compares to sector peers.
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Not financial advice. Research tool only. Data may be delayed.