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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

SPB PEER ANALYSIS

Spectrum Brands Holdings Inc — metric-by-metric comparison with peers and the industry median

SPBSpectrum Brands Holdings Inc

🇺🇸 USA · NYSE · Consumer Defensive · Household & Personal Products

Value itDuel
PriceFinancialsPeers

Overall Profile & Returns

· Household & Personal Products

Position Within Industry

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

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

Return Comparison

1-Year
Split-adjusted
SPB+48.8%ULVR+0.0%RKT+3.9%PUIG+1.3%IZFAS+65.2%BEI-28.1%
Year-to-Date (YTD)
SPB+39.8%ULVR-2.9%RKT-13.7%PUIG+13.2%IZFAS+11.7%BEI-16.6%
1-Year
Split-adjusted
SPB+48.8%COTY-56.7%NWL-5.4%EPC+6.7%IPAR-11.7%ELF-36.6%
Year-to-Date (YTD)
SPB+39.8%COTY-30.5%NWL+40.9%EPC+54.7%IPAR+38.6%ELF-2.5%

Key Metric Comparison

P/E

Lower is better
SPB15.37ULVR20.06RKT10.65PUIG8.71IZFAS—BEI18.20Median 19.95

ROE

Higher is better
SPB6.7%ULVR33.4%RKT44.1%PUIG29.8%IZFAS-22.0%BEI11.0%Median 9.6%

Net Margin

Higher is better
SPB4.5%ULVR11.9%RKT22.4%PUIG12.6%IZFAS-13.7%BEI9.5%Median 4.5%

Revenue Growth

Higher is better
SPB-3.8%ULVR-16.2%RKT0.3%PUIG44.5%IZFAS12.9%BEI1.7%Median -3.6%

P/E

Lower is better
SPB15.37COTY—NWL—EPC—IPAR23.13ELF171.60Median 19.95

ROE

Higher is better
SPB6.7%COTY-15.8%NWL-11.2%EPC-5.3%IPAR20.3%ELF2.8%Median 9.6%

Net Margin

Higher is better
SPB4.5%COTY-9.2%NWL-3.9%EPC-3.7%IPAR11.3%ELF1.6%Median 4.5%

Revenue Growth

Higher is better
SPB-3.8%COTY-3.6%NWL-4.1%EPC-5.3%IPAR1.9%ELF24.6%Median -3.6%

All Metrics

Valuation
MetricSPBULVRRKTPUIGIZFASBEIInd. Median
P/E15.3720.0610.658.71●—18.2019.95
P/B1.02●7.724.372.4827.941.992.64
EV/EBITDA11.2513.028.116.28●—8.8413.05
P/S0.69●2.382.381.1023.021.731.73
Financial Health
MetricSPBULVRRKTPUIGIZFASBEIInd. Median
Current Ratio2.290.790.851.122.38●1.901.22
Debt/Equity38.2%190.6%108.8%53.5%21.9%2.5%●56.8%
NetDebt/EBITDA2.662.211.300.62-2.22●-1.341.30
Profitability
MetricSPBULVRRKTPUIGIZFASBEIInd. Median
Net Margin4.5%11.9%22.4%●12.6%-13.7%9.5%4.5%
ROE6.7%33.4%44.1%●29.8%-22.0%11.0%9.6%
ROA3.6%8.0%12.6%12.9%●-13.0%7.1%3.9%
EBITDA Margin8.0%22.0%35.0%●19.3%-5.7%17.1%17.3%
Growth + Dividend
MetricSPBULVRRKTPUIGIZFASBEIInd. Median
Rev. Growth-3.8%-16.2%0.3%44.5%●12.9%1.7%-3.6%
NI Growth113.9%-9.9%123.1%●54.1%—27.2%2.1%
Div. Yield2.2%4.3%●4.1%1.2%0.0%1.3%2.2%
Payout35.4%73.0%31.0%10.2%0.0%23.7%27.4%
Valuation
MetricSPBCOTYNWLEPCIPARELFInd. Median
P/E15.37●———23.13171.6019.95
P/B1.020.63●1.000.854.443.992.64
EV/EBITDA11.25●52.2322.0019.7612.6132.0313.05
P/S0.690.340.32●0.592.622.761.73
Financial Health
MetricSPBCOTYNWLEPCIPARELFInd. Median
Current Ratio2.290.821.041.813.26●2.351.22
Debt/Equity38.2%115.4%235.8%88.4%20.7%●81.1%56.8%
NetDebt/EBITDA2.6632.7415.298.73-0.18●3.911.30
Profitability
MetricSPBCOTYNWLEPCIPARELFInd. Median
Net Margin4.5%-9.2%-3.9%-3.7%11.3%●1.6%4.5%
ROE6.7%-15.8%-11.2%-5.3%20.3%●2.8%9.6%
ROA3.6%-4.9%-2.5%-2.1%11.3%●1.4%3.9%
EBITDA Margin8.0%1.7%4.8%5.3%20.5%●9.8%17.3%
Growth + Dividend
MetricSPBCOTYNWLEPCIPARELFInd. Median
Rev. Growth-3.8%-3.6%-4.1%-5.3%1.9%24.6%●-3.6%
NI Growth113.9%●———2.1%-76.5%2.1%
Div. Yield2.2%0.7%4.8%●2.2%2.8%—2.2%
Payout35.4%-2.5%-44.5%-36.8%60.7%—27.4%

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 8, 26. This content is for informational purposes only and is not investment advice.