Grove Collaborative Holdings (GROV) Long-Term Investments (2021 - 2022)

Grove Collaborative Holdings (GROV) reported Long-Term Investments of $402.6 million for Q1 2022, little changed sequentially from $402.5 million in Q4 2021.

Grove Collaborative Holdings (GROV) Long-Term Investments (2021 - 2022) Analysis & Trends

Grove Collaborative Holdings (GROV) has 2 years of Long-Term Investments data on file, last reported at $402.6 million in Q1 2022.

  • For the quarter ending Q1 2022, Long-Term Investments changed N/A year-over-year to $402.6 million; the trailing twelve-month figure through Mar 2022 stood at $402.6 million (changed N/A YoY), and the FY2021 full-year result was $402.5 million, changed N/A from the prior year.
  • Long-Term Investments was little changed at $402.6 million in Q1 2022, from $402.5 million in the prior quarter.
  • In the past five years, Long-Term Investments ranged from a high of $402.6 million in Q1 2022 to a low of $402.5 million in Q2 2021.

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Long-Term Investments (Qtr)
1 Procter & Gamble 346.76 Bn 334.45 Bn 10.51 Bn -
2 Unilever 134.51 Bn 124.03 Bn - 3.57 Bn
3 Colgate Palmolive 73.58 Bn 72.24 Bn 3.23 Bn -
4 Kenvue 37.37 Bn 37.27 Bn 2.30 Bn -
5 Kimberly Clark 36.99 Bn 36.45 Bn 1.53 Bn 383.00 Mn
6 Estee Lauder Companies 29.94 Bn 26.81 Bn 2.84 Bn -
7 Church & Dwight 23.41 Bn 22.90 Bn 681.40 Mn 12.30 Mn
8 Clorox 11.80 Bn 10.62 Bn 722.00 Mn -
9 Yatsen Holding 6.39 Bn 6.25 Bn 153.20 Mn 92.15 Mn
10 Grove Collaborative Holdings 44.10 Mn 34.63 Mn 19.86 Mn -

Historic Data

Download Data
DateValue
Mar 31, 2022 402.57 Mn
Dec 31, 2021 402.53 Mn
Sep 30, 2021 402.52 Mn
Jun 30, 2021 402.52 Mn