Greenlane Holdings, Inc. (GNLN) vs 22nd Century Group, Inc (XXII)

Greenlane Holdings, Inc. and 22nd Century Group, Inc are both Tobacco companies. Greenlane Holdings, Inc. is the larger, with a market value of $2.3M against $1.0M — 2.2× the size. Greenlane Holdings, Inc. has negative trailing earnings, so its P/E is not meaningful; 22nd Century Group, Inc trades at 0.0×. 22nd Century Group, Inc grew revenue faster over the last twelve months: −27.4% against −63.1%. 22nd Century Group, Inc has the higher net margin (−237.8% vs −4,143.4%) and the higher return on invested capital (−59.2% vs −181.4%). Across the 18 metrics below, 22nd Century Group, Inc leads on 15 and Greenlane Holdings, Inc. on 3.

Valuation

Metric GNLN XXII Tobacco median
P/E n/m 0.00 15.85
P/S 4.28 0.02 2.43
P/B 0.49 0.01 0.92
Price to free cash flow n/m n/m 29.52
EV/EBITDA n/m 0.19 10.47
EV/Sales 3.10 (0.15) 2.66
Earnings yield (2,406.43%) 1,439,398.35% 3.65%
Free cash flow yield (277.79%) (3,421.56%) 1.59%

Profitability

Metric GNLN XXII Tobacco median
Gross margin (430.03%) (19.44%) 47.05%
Operating margin (1,919.34%) (85.04%) 0.00%
Net margin (4,143.38%) (237.82%) 0.67%
Free cash flow margin (1,189.92%) (65.58%) 2.54%
Return on equity (535.74%) (284.50%) (10.54%)
Return on assets (381.46%) (142.23%) 0.00%
Return on invested capital (181.44%) (59.22%) 1.93%

Growth

Metric GNLN XXII Tobacco median
Revenue growth (TTM) (63.08%) (27.43%) (0.30%)
EPS growth (last fiscal year) 21.61% 99.91% —
Revenue growth, 5-year CAGR (49.92%) (8.95%) 1.07%
Net income growth, 5-year CAGR 0.00% 0.00% 0.00%

Health

Metric GNLN XXII Tobacco median
Debt to equity 0.00 0.02 0.02
Current ratio 2.36 2.61 1.41
Net debt to EBITDA 0.61 0.64 0.64

Dividend

Metric GNLN XXII Tobacco median
Dividend yield — — 5.95%
Payout ratio 0.00 0.00 0.35

Size

Metric GNLN XXII Tobacco median
Market cap 2.28m 1.03m 1.20b

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