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CAR    Avis Budget Group Inc    723612    
Income Statement
Revenue 3,480,000,000
Net Income 237,000,000
Profit Margin 6.81%

Balance Sheet
Current Assets 2,319,000,000
Assets 32,749,000,000
Current Liabilities 3,326,000,000
Liabilities 32,978,000,000
Equity -229,000,000
Shares Out 35,664,000

Cash Flow Statement
Operating Cash Flow 2,746,000,000
Investing Cash Flow -2,696,000,000

Market Analysis
Market Cap 2,906,268,247
Price 90.19
BVPS 33.97
PB 2.67
EPS 21.03
PE 3.87
PS 0.21
FCF 50,000,000
Dividends
Dividend Amount 0.12   
Dividend Yield 0.11%
Jan Feb Mar
Ex: 3/27
Apr May Jun
Pay: 4/15
Jul Aug Sep
Oct Nov Dec

Earnings
Jan Feb Mar
2/12 7.10
Apr May Jun
5/01 -3.21
Jul Aug Sep
8/05 0.41
Oct Nov Dec
11/11

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