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Financial data sourced from official regulatory filings and verified market data providers. Metrics calculated using GAAP/IFRS standards.

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Last updated: April 2026

LAMR PEER ANALYSIS

Lamar Advertising Company — metric-by-metric comparison with peers and the industry median

LAMRLamar Advertising Company

🇺🇸 USA · NASDAQ · Real Estate · REIT - Specialty

Value itDuel
PriceFinancialsPeers

Overall Profile & Returns

· REIT - Specialty

Position Within Industry

0 = weak quartile, 100 = strong quartile
ValuationProfitabilityGrowthFinancial HealthDividend
LAMRIndustry median

Scores normalize each metric against industry quartiles (p25–p75); direction is inverted for lower-is-better metrics.

Return Comparison

1-Year
Split-adjusted
LAMR+31.7%URW+35.0%SCG+7.5%CLNX-18.8%VNA-19.2%MRL+39.2%
Year-to-Date (YTD)
LAMR+26.0%URW+16.4%SCG-5.5%CLNX-1.4%VNA-3.3%MRL+24.2%
1-Year
Split-adjusted
LAMR+31.7%WY-7.7%SBAC-20.5%GLPI-2.4%CCI-22.2%IRM+21.6%
Year-to-Date (YTD)
LAMR+26.0%WY+2.2%SBAC-3.4%GLPI+1.7%CCI-11.7%IRM+43.4%

Key Metric Comparison

P/E

Lower is better
LAMR29.08URW12.29SCG11.41CLNX—VNA5.52MRL12.28Median 26.94

ROE

Higher is better
LAMR55.0%URW7.2%SCG9.6%CLNX-2.7%VNA13.1%MRL9.4%Median 10.9%

Net Margin

Higher is better
LAMR24.0%URW38.0%SCG66.2%CLNX-7.5%VNA54.5%MRL140.9%Median 25.9%

Revenue Growth

Higher is better
LAMR3.4%URW2.5%SCG1.8%CLNX13.6%VNA1.1%MRL8.0%Median 5.3%

P/E

Lower is better
LAMR29.08WY43.25SBAC19.24GLPI13.80CCI31.61IRM128.57Median 26.94

ROE

Higher is better
LAMR55.0%WY4.2%SBAC—GLPI20.2%CCI—IRM—Median 10.9%

Net Margin

Higher is better
LAMR24.0%WY5.7%SBAC35.7%GLPI55.1%CCI25.1%IRM3.8%Median 25.9%

Revenue Growth

Higher is better
LAMR3.4%WY-2.4%SBAC6.3%GLPI4.4%CCI-22.9%IRM15.6%Median 5.3%

All Metrics

Valuation
MetricLAMRURWSCGCLNXVNAMRLInd. Median
P/E29.0812.2911.41—5.52●12.2826.94
P/B16.480.851.071.500.69●1.071.89
EV/EBITDA20.7814.5414.9812.89●16.8724.7018.77
P/S6.984.517.563.873.01●17.316.92
Financial Health
MetricLAMRURWSCGCLNXVNAMRLInd. Median
Current Ratio0.821.270.310.910.662.07●1.89
Debt/Equity534.8%138.4%80.2%193.7%150.8%59.4%●76.6%
NetDebt/EBITDA5.06●8.606.276.8411.426.685.16
Profitability
MetricLAMRURWSCGCLNXVNAMRLInd. Median
Net Margin24.0%38.0%66.2%-7.5%54.5%140.9%●25.9%
ROE55.0%●7.2%9.6%-2.7%13.1%9.4%10.9%
ROA8.2%●2.5%5.0%-0.8%3.8%5.4%4.3%
EBITDA Margin44.4%76.0%86.8%64.0%55.3%96.1%●62.3%
Growth + Dividend
MetricLAMRURWSCGCLNXVNAMRLInd. Median
Rev. Growth3.4%2.5%1.8%13.6%●1.1%8.0%5.3%
NI Growth30.1%767.4%●69.4%——156.9%42.4%
Div. Yield4.0%4.4%4.6%—5.5%●—3.6%
Payout120.0%39.5%47.8%—18.8%—109.5%
Valuation
MetricLAMRWYSBACGLPICCIIRMInd. Median
P/E29.0843.2519.2413.80●31.61128.5726.94
P/B16.481.82-4.122.65-17.43-28.82●1.89
EV/EBITDA20.7820.0516.4712.21●21.4223.4218.77
P/S6.982.48●6.867.607.944.836.92
Financial Health
MetricLAMRWYSBACGLPICCIIRMInd. Median
Current Ratio0.823.790.1515.62●0.273.721.89
Debt/Equity534.8%57.7%-324.4%180.8%-1,285.5%-1,622.8%●76.6%
NetDebt/EBITDA5.064.63●7.174.859.088.375.16
Profitability
MetricLAMRWYSBACGLPICCIIRMInd. Median
Net Margin24.0%5.7%35.7%55.1%●25.1%3.8%25.9%
ROE55.0%●4.2%—20.2%——10.9%
ROA8.2%2.4%9.2%●6.9%3.4%1.3%4.3%
EBITDA Margin44.4%16.1%73.7%103.2%●64.4%32.1%62.3%
Growth + Dividend
MetricLAMRWYSBACGLPICCIIRMInd. Median
Rev. Growth3.4%-2.4%6.3%4.4%-22.9%15.6%●5.3%
NI Growth30.1%8.8%24.8%15.0%—123.1%●42.4%
Div. Yield4.0%3.6%2.5%7.1%●5.6%2.7%3.6%
Payout120.0%152.4%48.3%99.1%175.9%356.8%109.5%

The green dot marks the best value in the group given the metric direction (higher/lower is better). All metrics use trailing-twelve-month (TTM) data.

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Data on this page refreshes once per day. Price data as of Jul 2, 26. This content is for informational purposes only and is not investment advice.