— Know what they know.
Not Investment Advice

WMLIX

Wilmington Large-Cap Strategy Fund Class Institutional
1W: -1.0% 1M: -0.3% 3M: +1.3% YTD: +11.4% 1Y: +2.2% 3Y: +63.6% 5Y: +58.1%
$37.34
+0.29 (+0.78%)
 
Weekly Expected Move ±1.4%
$36 $37 $37 $38 $38
ETF NASDAQ · AUM $628.3M

Portfolio Health Summary

IS Overall Score
56.3
★★★★★
Altman Z-Score
5.41
Safe
Weight Coverage
93%
of portfolio analyzed
Holdings Matched
984
with fundamental data

InsiderStreet Scorecard

★★★★★ 56.3
Profitability
64.3
Balance Sheet
62.1
Earnings Quality
65.3
Growth
62.2
Value
49.9
Momentum
76.4
Safety
74.7

Top Holdings: Score Breakdown

Risk & Quality Signals

Altman Z-Score
5.41
Safe Zone (>2.99)
Piotroski F-Score
6.2 / 9
Moderate
Beneish M-Score
-2.07
Unlikely Manipulator
Credit Score
—
Earnings Quality
65.3 / 100

Portfolio Valuation

P/E
15.32x
P/B
4.24x
P/S
4.12x
EV/EBITDA
18.02x
EV/Revenue
6.22x
P/FCF
38.03x
P/OCF
14.01x
PEG
0.52x
Earnings Yield
6.53%
FCF Yield
2.63%
OCF Yield
7.14%
Median P/E
19.58x

Growth & Shareholder Returns

Year-over-Year Growth

Revenue +22.9%
Net Income +36.6%
EPS +40.5%
FCF +33.0%
EBITDA +25.0%
Op. Income —

Compound Growth Rates

Rev CAGR 3Y +15.7%
Rev CAGR 5Y +12.4%
EPS CAGR 3Y +29.3%
EPS CAGR 5Y +17.0%
FCF CAGR 3Y +22.5%
FCF CAGR 5Y +12.5%
EBITDA CAGR 3Y +20.8%
EBITDA CAGR 5Y +14.4%
Payout Ratio
34.28%
Buyback Yield
3.72%
Dividend Yield
1.32%
Total Shareholder Return
4.66%

Earnings Stability

Monte Carlo Price Simulation

Geometric Brownian Motion with 1,000 antithetic paths over 1 year, seeded from 1800 days of historical volatility. Percentile bands show the range of statistically plausible outcomes — this is a statistical model, not a forecast.

Current Price
$37.05
Median 1Y
$41.40
5th Pctile
$29.77
95th Pctile
$57.62
Ann. Volatility
20.5%
25th–75th percentile 5th–95th percentile Median path Historical
All Ratios & Metrics
Valuation (12)
MetricValue
Portfolio P/E 15.32
Portfolio P/B 4.24
Portfolio P/S 4.12
EV/EBITDA 18.02
EV/Revenue 6.22
P/FCF 38.03
P/OCF 14.01
PEG 0.52
Earnings Yield 6.53%
FCF Yield 2.63%
OCF Yield 7.14%
Median P/E 19.58
Profitability & Returns (9)
MetricValue
Gross Margin 53.93%
Operating Margin 24.64%
Net Margin 26.80%
FCF Margin 9.62%
ROE 31.80%
ROA 11.51%
ROIC 20.42%
ROCE —
Asset Turnover —
Leverage & Solvency (6)
MetricValue
Debt/Equity 0.51
Debt/Assets 0.19
Net Debt/EBITDA 0.02
Interest Coverage 10.25
Current Ratio 1.00
Quick Ratio 0.95
Efficiency (4)
MetricValue
Asset Turnover —
Inventory Turnover —
Receivables Turnover —
Payables Turnover —
Growth — YoY (6)
MetricValue
Revenue Growth 22.92%
Net Income Growth 36.63%
EPS Growth 40.51%
FCF Growth 32.98%
EBITDA Growth 24.97%
Op. Income Growth —
Growth — CAGR (16)
MetricValue
Revenue CAGR 3Y 15.72%
Revenue CAGR 5Y 12.36%
Revenue CAGR 10Y —
EPS CAGR 3Y 29.28%
EPS CAGR 5Y 16.95%
EPS CAGR 10Y —
FCF CAGR 3Y 22.54%
FCF CAGR 5Y 12.49%
FCF CAGR 10Y —
EBITDA CAGR 3Y 20.77%
EBITDA CAGR 5Y 14.38%
EBITDA CAGR 10Y —
Net Income CAGR 3Y 29.46%
Net Income CAGR 5Y 16.67%
Op. Income CAGR 3Y —
Op. Income CAGR 5Y —
Quality Scores (13)
MetricValue
IS Overall 56.3
IS Profitability 64.3
IS Balance Sheet 62.1
IS Earnings Quality 65.3
IS Growth 62.2
IS Value 49.9
IS Momentum 76.4
IS Safety 74.7
IS Quality 69.6
Altman Z-Score 5.41
Piotroski F-Score 6.24
Beneish M-Score -2.07
Credit Score —
Dividends & Payout (4)
MetricValue
Dividend Yield 1.32%
Payout Ratio 34.28%
Buyback Yield 3.72%
Total Shareholder Return 4.66%
Growth Stability (4)
MetricValue
Revenue Stability 0.800
Earnings Stability 0.548
Earnings Persistence 0.738
Margin Stability 0.862
Medians (3)
MetricValue
Median P/E 19.58
Median P/B 2.76
Median Dividend Yield —
Coverage Meta (3)
MetricValue
Weight Coverage % 92.60%
Holdings Matched 984
Total Holdings 1005

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms