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22nd Century Group Inc. (XXII)

Price$2.21

Favorite Metrics

Price vs S&P 500 (26W)-100.06%
Price vs S&P 500 (4W)-54.03%
Market Capitalization$1.43M

All Metrics

Book Value / Share (Quarterly)$36.23
P/TBV (Annual)2.50x
Indicated Dividend (Annual)$0.00
Revenue Growth (3Y)-24.27%
Cash Flow / Share (Quarterly)$-16.85
Price vs S&P 500 (YTD)-87.00%
Gross Margin (TTM)-17.84%
Net Profit Margin (TTM)-28.74%
EPS (TTM)$-1050.66
10-Day Avg Trading Volume0.06M
EPS Excl Extra (TTM)$-1050.66
Revenue Growth (5Y)-8.95%
EPS (Annual)$-27.46
ROI (Annual)-138.72%
Gross Margin (Annual)-17.84%
Net Profit Margin (5Y Avg)-156.22%
Cash / Share (Quarterly)$14.01
Revenue Growth QoQ (YoY)-12.04%
ROA (Last FY)-69.97%
Revenue Growth TTM (YoY)-27.87%
EBITD / Share (TTM)$-61.88
ROE (5Y Avg)-115.42%
Operating Margin (TTM)-65.76%
Cash Flow / Share (Annual)$-19.87
P/B Ratio0.08x
P/B Ratio (Quarterly)0.29x
Net Income / Employee (Annual)$-0
EV / Revenue (TTM)-0.29x
Net Interest Coverage (TTM)-8.58x
ROA (TTM)-19.58%
EPS Incl Extra (Annual)$-27.46
Current Ratio (Annual)1.16x
Quick Ratio (Quarterly)1.48x
3-Month Avg Trading Volume0.03M
52-Week Price Return-99.24%
Revenue / Employee (TTM)$0
Tangible BV / Share (Quarterly)$24.04
P/S Ratio (Annual)0.08x
Asset Turnover (Annual)1.13x
52-Week High$489.90
Operating Margin (5Y Avg)-88.35%
EPS Excl Extra (Annual)$-27.46
CapEx CAGR (5Y)10.88%
Tangible BV CAGR (5Y)3.08%
26-Week Price Return-91.32%
Quick Ratio (Annual)0.85x
13-Week Price Return-84.62%
Total Debt / Equity (Annual)1.72x
Current Ratio (Quarterly)2.42x
Enterprise Value$-5.016
Revenue / Share Growth (5Y)-57.67%
Asset Turnover (TTM)0.68x
Book Value / Share Growth (5Y)-80.15%
Revenue / Employee (Annual)$0
Inventory Turnover (Annual)8.42x
Pretax Margin (Annual)-74.74%
Cash / Share (Annual)$6.06
3-Month Return Std Dev97.31%
Gross Margin (5Y Avg)-8.69%
Net Income / Employee (TTM)$-0
ROE (Last FY)-377.97%
Net Interest Coverage (Annual)-8.04x
EPS Basic Excl Extra (Annual)$-27.46
Receivables Turnover (TTM)6.65x
Total Debt / Equity (Quarterly)0.04x
EPS Incl Extra (TTM)$-1050.66
Receivables Turnover (Annual)14.47x
ROI (TTM)-35.03%
P/S Ratio (TTM)0.08x
Pretax Margin (5Y Avg)-100.67%
Revenue / Share (Annual)$95.55
Tangible BV / Share (Annual)$11303.14
Price vs S&P 500 (52W)-134.34%
Year-to-Date Return-82.86%
5-Day Price Return-3.88%
EPS Normalized (Annual)$-27.46
ROA (5Y Avg)-143.01%
Net Profit Margin (Annual)-28.74%
Month-to-Date Return-10.41%
Cash Flow / Share (TTM)$-8.46
EBITD / Share (Annual)$-61.66
Operating Margin (Annual)-65.76%
LT Debt / Equity (Annual)1.29x
ROI (5Y Avg)-66.77%
LT Debt / Equity (Quarterly)0.03x
EPS Basic Excl Extra (TTM)$-1050.66
P/TBV (Quarterly)0.44x
P/B Ratio (Annual)0.73x
Inventory Turnover (TTM)6.54x
Pretax Margin (TTM)-74.74%
Book Value / Share (Annual)$5.50
Price vs S&P 500 (13W)-87.48%
Beta0.93x
P/FCF (Annual)0.46x
Revenue / Share (TTM)$36.95
ROE (TTM)-41.38%
52-Week Low$1.66

Analyst Recommendations

Jan 2026
Feb 2026
Mar 2026
Apr 2026
4.14
4.14
4.14
4.14

Industry Peers — Cigarettes(4)

SymbolP/E Ratio (Annual)ROE (TTM)Revenue Growth (5Y)Indicated Dividend Yield (Annual)Price
XXII22nd Century Group Inc.
-41.38%-8.95%$2.21
PMPhilip Morris International Inc.
21.64x575.44%7.21%3.73%$157.55
BTIBritish American Tobacco p.l.c. American Depositary Shares, American Depositary Shares, each representing one Ordinary Share
11.55x6.40%-0.13%5.80%$57.06
MOAltria Group, Inc.
15.47x149.65%-2.30%6.56%$64.61
RLXRLX Technology Inc. American Depositary Shares, each representing the right to receive one (1) Class A ordinary share
19.56x5.75%0.72%5.05%$2.14

About

22nd Century Group Inc develops reduced-nicotine tobacco products using its proprietary VLNC (very low nicotine content) technology and commercializes cigarettes under the SPECTRUM brand. The company also explores hemp and cannabis applications for its alkaloid plant technology platform. Tobacco sales represent the majority of the company's revenue.