Johnson & Johnson 1 Of 5 Long-Term Prospects To Consider

May.22.12 | About: Johnson & (JNJ)

The markets are still in a corrective mode, and we believe that we will need to see one more selling climax, followed by 1-2 days where the market closes in the red on lower volume. Lower volume on down days indicates that the selling pressure is starting to abate. Long-term investors can use strong pullbacks to slowly start deploying money into long-term investments. An excellent way to purchase a stock at a price of your choosing is to sell puts at strikes you would not mind owning the stock at. Investors looking for other investment ideas might find this article to be of interest - A Naked Put Strategy For Coca Cola With A Potential to yield an additional 4.9% in 5 months.

Company: Johnson & Johnson (NYSE:JNJ)

Basic Key ratios

  1. Relative Strength 52 weeks = 59
  2. Cash Flow 5-year Average = 5.51

Growth

  1. Net Income ($mil) 12/2011 = 9672
  2. Net Income ($mil) 12/2010 = 13334
  3. Net Income ($mil) 12/2009 = 12266
  1. EBITDA ($mil) 12/2011 = 16090
  2. EBITDA ($mil) 12/2010 = 20341
  3. EBITDA ($mil) 12/2009 = 18980
  1. Cash Flow ($/share) 12/2011 = 6.23
  2. Cash Flow ($/share) 12/2010 = 5.91
  3. Cash Flow ($/share) 12/2009 = 5.68
  1. Sales ($mil) 12/2011 = 65030
  2. Sales ($mil) 12/2010 = 61587
  3. Sales ($mil) 12/2009 = 61897
  1. Annual EPS before NRI 12/2007 = 4.15
  2. Annual EPS before NRI 12/2008 = 4.55
  3. Annual EPS before NRI 12/2009 = 4.63
  4. Annual EPS before NRI 12/2010 = 4.76
  5. Annual EPS before NRI 12/2011 = 5

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Dividend history

  1. Dividend Yield = 3.90
  2. Dividend Yield 5 Year Average 12/2011 = 3.16
  3. Dividend 5 year Growth 12/2011 = 8.23

Dividend sustainability

  1. Payout Ratio 09/2011 = 0.45
  2. Payout Ratio 5 Year Average 12/2011 = 0.43

Performance

  1. Next 3-5 Year Estimate EPS Growth rate = 6.57
  2. 5 Year History EPS Growth 12/2011 = 4.38
  3. ROE 5 Year Average 12/2011 = 26.32
  4. Current Ratio 12/2011 = 2.69
  5. Current Ratio 5 Year Average = 1.94
  6. Quick Ratio = 2.11
  7. Cash Ratio = 1.64
  8. Interest Coverage Quarterly = 35.32

Company: 3M Co (NYSE:MMM)

Basic Key ratios

  1. Percentage Held by Insiders = 0.74
  2. Number of Institutional Sellers 12 Weeks = 4
  3. Relative Strength 52 weeks = 55
  4. Dividend 5-year Growth = 3.54
  5. Cash Flow 5-year Average = 6.79
  6. Dividend Yield 5-Year Average = 2.69

Growth

  1. Net Income ($mil) 12/2011 = 4283
  2. Net Income ($mil) 12/2010 = 4085
  3. Net Income ($mil) 12/2009 = 3193
  4. Net Income Reported Quarterly ($mil) = 1125
  1. EBITDA ($mil) 12/2011 = 7453
  2. EBITDA ($mil) 12/2010 = 7076
  3. EBITDA ($mil) 12/2009 = 6008
  1. Cash Flow ($/share) 12/2011 = 7.88
  2. Cash Flow ($/share) 12/2010 = 7.4
  3. Cash Flow ($/share) 12/2009 = 6.31
  1. Sales ($mil) 12/2011 = 29611
  2. Sales ($mil) 12/2010 = 26662
  3. Sales ($mil) 12/2009 = 23123
  1. Annual EPS before NRI 12/2007 = 4.98
  2. Annual EPS before NRI 12/2008 = 5.16
  3. Annual EPS before NRI 12/2009 = 4.69
  4. Annual EPS before NRI 12/2010 = 5.75
  5. Annual EPS before NRI 12/2011 = 5.96

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Dividend history

  1. Dividend Yield = 2.8
  2. Dividend Yield 5 Year Average 12/2011 = 2.69
  3. Dividend 5 year Growth 12/2011 = 3.54

Dividend sustainability

  1. Payout Ratio 09/2011 = 0.39
  2. Payout Ratio 5 Year Average 12/2011 = 0.4

Performance

  1. Next 3-5 Year Estimate EPS Growth rate = 11.75
  2. 5 Year History EPS Growth 12/2011 = 5.04
  3. ROE 5 Year Average 12/2011 = 29.32
  4. Return on Investment 12/2011 = 20.11
  1. Current Ratio 12/2011 = 2.38
  2. Current Ratio 5 Year Average = 1.97
  3. Quick Ratio = 1.62
  4. Interest Coverage Quarterly = 41.08

Valuation

  1. Book Value Quarterly = 23.92
  2. Price/ Book = 3.49
  3. Price/ Cash Flow = 10.61

Company: Weatherford International (NYSE:WFT)

Basic Key ratios

  1. Percentage Held by Insiders = 2
  2. Relative Strength 52 weeks = 29
  3. Cash Flow 5-year Average = 2.11

Growth

  1. Net Income ($mil) 12/2011 = 262
  2. Net Income ($mil) 12/2010 = -152
  3. Net Income ($mil) 12/2009 = 124
  4. Net Income Reported Quarterly ($mil) = 123
  1. EBITDA ($mil) 12/2011 = 2352
  2. EBITDA ($mil) 12/2010 = 1658
  3. EBITDA ($mil) 12/2009 = 1563
  1. Cash Flow ($/share) 12/2011 = 1.85
  2. Cash Flow ($/share) 12/2010 = 1.21
  3. Cash Flow ($/share) 12/2009 = 1.73
  1. Sales ($mil) 12/2011 = 12990
  2. Sales ($mil) 12/2010 = 10221
  3. Sales ($mil) 12/2009 = 8827
  1. Annual EPS before NRI 12/2009 = 0.5
  2. Annual EPS before NRI 12/2010 = -0.2
  3. Annual EPS before NRI 12/2011 = 0.34

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Performance

  1. Next 3-5 Year Estimate EPS Growth rate = 49.77
  2. 5 Year History EPS Growth 12/2011 = -40.53
  3. ROE 5 Year Average 12/2011 = 8.24
  4. Return on Investment 12/2011 = 2.59
  5. Current Ratio 12/2011 = 1.67
  6. Current Ratio 5 Year Average = 2.3
  7. Quick Ratio = 1.08
  8. Cash Ratio = 0.31
  9. Interest Coverage Quarterly = 3.38

Company: Tyco Intl Ltd (NYSE:TYC)

Basic Key ratios

  1. Relative Strength 52 weeks = 76
  2. Cash Flow 5-year Average = 7.24

Growth

  1. Net Income ($mil) 12/2011 = 1733
  2. Net Income ($mil) 12/2010 = 1132
  3. Net Income ($mil) 12/2009 = -1798
  4. Net Income Reported Quarterly ($mil) = 327
  1. EBITDA ($mil) 12/2011 = 3467
  2. EBITDA ($mil) 12/2010 = 2778
  3. EBITDA ($mil) 12/2009 = 2387
  4. Cash Flow ($/share) 12/2011 = 6.2
  5. Cash Flow ($/share) 12/2010 = 5.09
  6. Cash Flow ($/share) 12/2009 = 10.5
  1. Sales ($mil) 12/2011 = 17355
  2. Sales ($mil) 12/2010 = 17016
  3. Sales ($mil) 12/2009 = 17237
  1. Annual EPS before NRI 12/2007 = 1.93
  2. Annual EPS before NRI 12/2008 = 3.04
  3. Annual EPS before NRI 12/2009 = 2.36
  4. Annual EPS before NRI 12/2010 = 2.68
  5. Annual EPS before NRI 12/2011 = 3.24

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Dividend history

  1. Dividend Yield = 1.90
  2. Dividend Yield 5 Year Average 12/2011 = 2.26
  3. Dividend 5 year Growth 12/2011 = 6.05

Dividend sustainability

  1. Payout Ratio 09/2011 = 0.29
  2. Payout Ratio 5 Year Average 12/2011 = 0.28

Performance

  1. Next 3-5 Year Estimate EPS Growth rate = 12.3
  2. 5 Year History EPS Growth 12/2011 = -5.61
  3. ROE 5 Year Average 12/2011 = 9.63
  4. Return on Investment 12/2011 = 8.81
  5. Current Ratio 12/2011 = 1.51
  6. Current Ratio 5 Year Average = 1.54
  7. Quick Ratio = 1.18
  8. Cash Ratio = 0.62
  9. Interest Coverage Quarterly = 8.07

Company: Sandridge Energy (NYSE:SD)

Basic Key ratios

  1. Number of Institutional Sellers 12 Weeks = 3
  2. Relative Strength 52 weeks = 26
  3. Cash Flow 5-year Average = 1.83

Growth

  1. Net Income ($mil) 12/2011 = 108
  2. Net Income ($mil) 12/2010 = 191
  3. Net Income ($mil) 12/2009 = -1776
  4. Net Income Reported Quarterly ($mil) = -218
  1. EBITDA ($mil) 12/2011 = 788
  2. EBITDA ($mil) 12/2010 = 335
  3. EBITDA ($mil) 12/2009 = -1361
  4. Cash Flow ($/share) 12/2011 = 1.09
  5. Cash Flow ($/share) 12/2010 = 1.03
  6. Cash Flow ($/share) 12/2009 = 1.87
  1. Sales ($mil) 12/2011 = 1415
  2. Sales ($mil) 12/2010 = 932
  3. Sales ($mil) 12/2009 = 591
  1. Annual EPS before NRI 12/2009 = 0.65
  2. Annual EPS before NRI 12/2010 = 0.11
  3. Annual EPS before NRI 12/2011 = 0.01

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Performance

  1. Next 3-5 Year Estimate EPS Growth rate = 218.1
  2. 5 Year History EPS Growth 12/2011 = -53.18
  3. ROE 5 Year Average 12/2011 = 16.03
  4. Return on Investment 12/2011 = 1.12
  1. Current Ratio 12/2011 = 0.55
  2. Current Ratio 09/2011 = 0.55
  3. Current Ratio 06/2011 = 0.63
  4. Current Ratio 5 Year Average = 0.8
  5. Quick Ratio = 0.62
  6. Cash Ratio = 0.33
  7. Interest Coverage Quarterly = N/A

Disclaimer

This list of stocks is meant to serve as a starting point. Please do not treat this as a buying list. It is imperative that you do your due diligence and then determine if any of the above plays meet with your risk tolerance levels. The Latin maxim caveat emptor applies - let the buyer beware.

Disclosure: I have no positions in any stocks mentioned, and no plans to initiate any positions within the next 72 hours.

Additional disclosure: EPS and Price vs. industry charts obtained from zacks.com. A major portion of the historical data used in this article was obtained from zacks.com.