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Acuity Brands, Inc. (AYI)
328.39  -9.46 (-2.8%)  07-31 16:00
Open: 339.335
High: 341.625
Low: 326.81
Volume: 478,049
Market Cap: 9,831(M)
PE Ratio: 16.98
Exchange: New York Stock Exchange
Industry: Electrical Equipment & Parts
Sector: Industrials
Technical analysis
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sell buy
Resistance 2: 378.43
Resistance 1: 357.45
Pivot price: 332.15
Support 1: 323.51
Support 2: 269.16
52w High: 380.17
52w Low: 257.04
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Acuity Brands, Inc. operates as a global provider of advanced lighting and building management solutions, serving markets both within North America and internationally. The company's operations are divided into two principal segments: Acuity Brands Lighting and Lighting Controls (ABL), and the Intelligent Spaces Group (ISG). The ABL division offers a comprehensive portfolio of commercial, architectural, and specialized lighting products, alongside control systems and related components, designed for a variety of indoor and outdoor applications. This segment markets its offerings under numerous well-known brands, including Lithonia Lighting, Holophane, Peerless, Gotham, Mark Architectural Lighting, Winona Lighting, Juno, Indy, Aculux, Healthcare Lighting, Hydrel, American Electric Lighting, Sunoptics, eldoLED, nLight, Sensor Switch, IOTA, A-Light, Cyclone, Eureka, Lumniaire LED, Luminis, Dark to Light, and RELOC Wiring Solutions. Its diverse customer base for lighting products spans electrical distributors, major retail home improvement chains, utility providers, national account clients, online retailers, dedicated lighting showrooms, and energy service firms. In contrast, the ISG segment focuses on sophisticated building management systems and location-aware applications, delivered through its Distech Controls, Atrius, and Rockpile Ventures brands. This includes serving system integrators, as well as end-users such as retail establishments, airports, and large corporate campuses. Established in 2001, Acuity Brands, Inc. maintains its corporate headquarters in Atlanta, Georgia.

Financials
EPS 15.050
Book Value 95.370
PEG Ratio 1.29
Gross Profit 74.816
Profit Margin (%) 10.25
Operating Margin (%) 16.05
Return on Assets (ttm) 7.8
Return on Equity (ttm) 17.4
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