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COMP NYSE

Compass, Inc.
1W: +9.4% 1M: +7.2% 3M: -17.7% YTD: -19.2% 1Y: +39.5% 3Y: +128.6% 5Y: -40.1%
$8.40
-0.07 (-0.83%)
 
Weekly Expected Move ±15.4%
$5 $7 $8 $9 $10
NYSE · Technology · Software - Application · Alpha Radar Buy · Power 62 · $5.1B mcap · 587M float · 2.61% daily turnover · Short 62% of daily vol

Edge Score

Quantitative competitive moat analysis scoring five pillars of durable advantage — cost leadership, brand intangibles, switching costs, network effects, and efficient scale — using industry percentile rankings on a 0–100 scale.

NO EDGE
38.1 / 100
NoneWeakNarrowWide
Primary source: Cost Advantage  ·  ROIC: -11.5%  ·  5Y Avg: -36.4%
Cost Advantage ★
63
Intangibles
18
Switching Cost
42
Network Effect
42
Scale
28
The Edge Score quantifies a company's competitive moat using five pillars: Cost Advantage (20%, operating margin and SG&A efficiency vs industry peers), Intangible Assets (25%, gross margin premium, R&D intensity, brand pricing power), Switching Costs (25%, revenue stability, earnings consistency, customer retention proxied by operating leverage), Network Effects (15%, revenue growth with expanding margins, market share dominance), and Efficient Scale (15%, market concentration, ROIC sustainability). Each pillar is scored 0–100 using industry percentile rankings, then weighted into a composite. Wide ≥ 70, Narrow ≥ 55, Weak ≥ 40, None < 40. COMP has No discernible competitive edge (38.1/100). The business operates without significant structural advantages. The primary source of advantage is Cost Advantage. Negative ROIC of -11.5% indicates the company is currently destroying value, though this may reflect a growth investment phase.

Analyst Insights

Wall Street analyst consensus based on price targets and buy/sell/hold recommendations from institutional research coverage over the trailing 12 months.

Analyst Price Targets
$12
Low
$12
Avg Target
$12
High
Based on 1 analyst since May 5, 2026 earnings
Analyst Recommendations
Strong Buy: 0Buy: 7Hold: 2Sell: 1Strong Sell: 0
Rating Summary
ConsensusBuy
Avg Target$12.17
Analysts3
Price Target Change History
DateFirmAnalystOldNewChangeUpside @ CallStock@Call
2026-05-06 Morgan Stanley Matthew Cost Initiated $12 +34.9% $9.27
2026-04-17 Goldman Sachs $14 $12 -2 +47.4% $8.14
2026-04-15 BTIG $15 $12 -3 +69.3% $7.09
2026-02-09 UBS $10 $17 +7 +34.9% $12.61
2026-01-27 Goldman Sachs $10 $14 +4 +3.1% $13.58
2026-01-26 Compass Point $13 $15 +2 +12.5% $13.33
2026-01-20 Deutsche Bank Initiated $16 +24.4% $12.86
2026-01-15 Barclays Matthew Bouley $9 $15 +6 +22.0% $12.30
2026-01-13 UBS $12 $10 -2 -17.5% $12.12
2026-01-13 Wells Fargo $8 $13 +5 +6.5% $12.21
2026-01-08 BTIG $12 $15 +2 +26.7% $11.84
2025-12-08 Compass Point Matthew Bouley $9 $13 +4 +26.0% $10.32
2025-11-25 BTIG Jake Fuller $11 $12 +2 +17.9% $10.60
2025-11-05 UBS Chris Kuntarich Initiated $12 +39.6% $8.59
2025-11-05 Barclays $8 $9 +1 +7.7% $8.36
2025-08-27 BTIG Jake Fuller $5 $11 +6 +17.0% $9.40
2025-07-31 Barclays Matthew Bouley Initiated $8 +10.7% $7.23
2025-06-30 Compass Point $8 $9 +1 +43.3% $6.28
2025-04-28 Wells Fargo Initiated $8 +8.4% $7.38
2024-10-31 Needham Bernie McTernan Initiated $8 +43.9% $5.56
2024-09-24 Oppenheimer Jason Helfstein Initiated $8 +29.0% $6.20
2024-07-23 BTIG Soham Bhonsle Initiated $5 +11.9% $4.47
2024-06-25 Gordon Haskett Capital Corporation Robert Mollins Initiated $4 +5.9% $3.54
2022-06-21 Compass Point Jason Weaver Initiated $8 +110.5% $3.80
2022-04-19 Goldman Sachs Initiated $10 +65.6% $6.34

Financial Rating

Composite financial health rating (A+ to F) based on discounted cash flow valuation, return on equity, return on assets, debt-to-equity leverage, and relative P/E and P/B multiples.

C
May 22, 2026
DCF
1
ROE
2
ROA
3
D/E
1
P/E
1
P/B
3
The Financial Rating evaluates six fundamental factors — discounted cash flow (DCF) valuation, return on equity (ROE), return on assets (ROA), debt-to-equity leverage (D/E), and relative price-to-earnings (P/E) and price-to-book (P/B) multiples — each scored 1–5. COMP receives an overall rating of C. Areas of concern: DCF (1/5), ROE (2/5), D/E (1/5), P/E (1/5).
Rating Change History
DateFromTo
2026-05-14 C+ C
2026-05-05 D+ C+
2026-01-03 C- D+

InsiderStreet Scorecard

Proprietary multi-factor scorecard rating companies across seven fundamental dimensions — profitability, balance sheet strength, earnings quality, growth, value, momentum, and safety — each scored 0–100.

53 Grade C
Profitability
5
Balance Sheet
45
Earnings Quality
96
Growth
75
Value
30
Momentum
100
Safety
100
Cash Flow
32
The InsiderStreet Scorecard rates companies across eight dimensions: Profitability (margins, ROA, ROE), Balance Sheet (leverage, liquidity, coverage), Earnings Quality (accruals, cash conversion), Growth (revenue and earnings trajectory), Value (P/E, P/B, earnings yield, Graham criteria), Momentum (revenue and earnings acceleration), Safety (Altman Z-Score risk adjustment), and Cash Flow (operating cash flow quality, FCF conversion, cash coverage). The overall score blends 35% quality, 35% value, and 30% momentum, with a penalty for distress-zone Altman scores. COMP scores highest in Safety (100/100) and lowest in Profitability (5/100). A grade of C represents mixed fundamentals — strengths in some areas offset by weaknesses.

Risk & Quality Signals

Academic financial models used by institutional investors to assess bankruptcy risk, earnings manipulation, financial strength, and credit quality.

Altman Z-Score
5.87
Safe Zone
Piotroski F-Score
6/9
Beneish M-Score
-0.39
Possible Manipulator
Ohlson O-Score
-7.48
Bankruptcy prob: 0.1%
Low Risk
Credit Rating
BB
Score: 43.3/100
Trend: Stable
Earnings Quality
100/100
OCF/NI: 2.58x
Accruals: -1.6%
The Altman Z-Score (1968) combines five ratios — working capital, retained earnings, EBIT, market value of equity, and sales, all relative to total assets or liabilities — into a single bankruptcy predictor. COMP scores 5.87, placing it in the Safe Zone (safe > 2.99, distress < 1.81). Bankruptcy is statistically unlikely within the next two years. The Piotroski F-Score (2000) is a 9-point binary checklist — four profitability tests (positive ROA, positive cash flow, improving ROA, cash flow exceeding net income), three leverage tests (declining debt ratio, improving current ratio, no share dilution), and two efficiency tests (improving gross margin, improving asset turnover). Each pass scores 1 point. COMP scores 6/9, indicating moderate financial health — some areas of strength offset by weaknesses in others. The Beneish M-Score (1999) is an 8-variable model that detects earnings manipulation by comparing year-over-year changes in receivables, gross margins, asset quality, sales growth, depreciation, SG&A, leverage, and accruals. Scores above −1.78 statistically resemble past manipulators. COMP's score of -0.39 exceeds the −1.78 red flag threshold — this does not confirm manipulation but indicates the earnings profile resembles past manipulators statistically. The Ohlson O-Score (1980) is a 9-variable logistic regression that estimates bankruptcy probability using firm size, leverage, working capital, current ratio, profitability (ROA), cash flow coverage, negative equity flag, consecutive losses flag, and earnings trajectory. The raw score is converted to a probability via logistic transformation. COMP's implied 0.1% bankruptcy probability is well within safe territory. Our Credit Rating model scores companies on five weighted components — solvency (30%), earning power (25%), leverage (20%), liquidity (15%), and cash flow quality (10%) — then blends the absolute score with sector and industry peer rankings. For companies with large buyback programs, equity is adjusted by adding back cumulative 5-year repurchases (capped at 80% of FCF generated) to avoid penalizing shareholder-friendly capital allocation. COMP receives an estimated rating of BB (score: 43.3/100), with a stable trend. The Earnings Quality score measures how well reported earnings are backed by real cash. It evaluates the operating cash flow to net income ratio (OCF/NI ≥ 1.0 means every dollar of earnings is cash-backed) and the accruals ratio (the gap between earnings and cash flow relative to assets — lower is better). COMP's score of 100/100 is high — cash flows strongly support reported earnings.

Valuation

Key valuation multiples comparing the stock's market price to its earnings, revenue, book value, and cash flows. Lower multiples may indicate relative undervaluation versus peers.

P/E
434.40x
PEG
2.67x
P/S
0.61x
P/B
2.19x
P/FCF
264.63x
P/OCF
114.24x
EV/EBITDA
50.81x
EV/Revenue
0.53x
EV/EBIT
-27.79x
EV/FCF
280.74x
Earnings Yield
0.34%
FCF Yield
0.38%
Shareholder Yield
0.00%
Graham Number
$0.87
Equity-based multiples (P/E, P/B, P/FCF) compare the stock price to per-share fundamentals and are affected by capital structure. Enterprise value multiples (EV/EBITDA, EV/Revenue, EV/FCF) strip out debt and cash, making them more useful for cross-company comparisons regardless of how companies are financed. The Graham Number — √(22.5 × EPS × Book Value) — is Benjamin Graham's formula for the maximum price a defensive investor should pay. At 434.4x earnings, COMP is priced for high growth expectations. Graham's intrinsic value formula yields $0.87 per share, 861% below the current price.

DuPont Decomposition (5-Factor)

The 5-factor DuPont framework breaks Return on Equity into its component drivers — tax efficiency, interest burden, operating profitability, asset utilization, and financial leverage — to reveal what truly drives shareholder returns.

Tax Burden
-0.037
NI / EBT
×
Interest Burden
2.410
EBT / EBIT
×
EBIT Margin
-0.019
EBIT / Rev
×
Asset Turnover
6.115
Rev / Assets
×
Equity Multiplier
2.281
Assets / Equity
=
ROE
2.4%
The 5-factor DuPont identity decomposes ROE as: Tax Burden × Interest Burden × EBIT Margin × Asset Turnover × Equity Multiplier = ROE. This reveals whether returns are driven by operating performance, financial leverage, or tax efficiency — three very different sources of profitability. COMP's ROE of 2.4% is driven by Asset Turnover (6.115), indicating efficient use of assets to generate revenue. A tax burden ratio of -0.04 suggests the company retains less than 60% of pre-tax earnings after taxes.

Graham-Dodd Adjusted Valuation

Our adaptation of Graham's growth formula (Fair P/E = 8.5 + 2g) from The Intelligent Investor. The classic version relies on analyst growth projections, which can be unreliable. This adjusted model substitutes the company's realized 3-year EPS CAGR — a backward-looking, verifiable measure of actual earnings power — grounding the valuation in demonstrated performance rather than forecasts.

Adj. Growth Rate
0.00%
Fair P/E
8.50x
Intrinsic Value
$0.21
Price/Value
34.64x
Margin of Safety
-3364.12%
Premium
3364.12%
Assessment
Overvalued
Graham's classic formula uses analyst-projected growth to estimate a fair P/E (8.5 + 2g). Our adjusted version replaces that projection with COMP's realized 0.0% 3-year EPS CAGR — what the company actually delivered, not what analysts hope for. COMP trades at a 3364% premium to its adjusted intrinsic value of $0.21, suggesting the market is pricing in future growth beyond what historical earnings support. The adjusted fair P/E of 8.5x compares to the current market P/E of 434.4x.

Profitability Trends

Historical profitability ratios tracking how efficiently the company converts revenue into returns for shareholders over time.

Leverage & Solvency Trends

Debt and liquidity metrics showing the company's financial leverage and ability to meet short-term and long-term obligations.

Efficiency & Working Capital Trends

Operating efficiency metrics measuring how quickly the company converts inventory to sales, collects receivables, and manages its cash conversion cycle.

Growth Trends (YoY %)

Year-over-year growth rates for key financial metrics, showing the trajectory of revenue, earnings, and cash flow generation.

Earnings Stability

R-squared of linear regression measuring how predictably revenue, earnings, and margins follow a trend over the trailing 5 years. 1.0 = perfectly predictable; lower values indicate erratic or cyclical behavior.

Monte Carlo Price Simulation

Geometric Brownian Motion with 1,000 antithetic paths over 1 year, seeded from 1292 days of historical volatility. Percentile bands show the range of statistically plausible outcomes — this is a statistical model, not a forecast.

Current Price
$8.40
Median 1Y
$5.27
5th Pctile
$1.52
95th Pctile
$18.25
Ann. Volatility
77.1%
Analyst Target
$12.17
25th–75th percentile 5th–95th percentile Median path Historical Analyst target

Executive Compensation

C-suite compensation breakdown including salary, stock awards, options, and incentive pay. The CEO-to-employee pay ratio and Gini coefficient measure pay distribution fairness.

C-Suite Compensation

ExecutiveSalaryStockTotal
Robert Reffkin
Chief Executive Officer
$900,000 $7,955,210 $10,656,460
Bradley Serwin Counsel
General Counsel & Corporate Secretary
$456,923 $7,358,872 $10,279,429
Kalani Reelitz Financial
ief Financial Officer
$336,538 $7,524,288 $7,862,076
Scott Wahlers Financial
ancial Officer
$444,750 $6,761,269 $7,856,173

CEO Pay Ratio

35:1
CEO-to-Employee Pay Ratio
CEO Total Comp: $10,656,460
Avg Employee Cost (SGA/emp): $305,844
Employees: 3,200

C-Suite Pay Equality (Gini)

CEO Compensation Mix

Workforce & Productivity

Workforce efficiency metrics measuring revenue, profit, and R&D spend per employee — key indicators of operational leverage and human capital productivity.

Employees
3,200
+24.7% YoY
Revenue / Employee
$2,175,500
Rev: $6,961,600,000
Profit / Employee
$-18,281
NI: $-58,500,000
SGA / Employee
$305,844
Avg labor cost proxy
R&D / Employee
$114,469
Innovation spend

Scaling Efficiency

All Ratios & Metrics

Complete fundamental data with up to 20 periods of history, sparkline trends, and current values across 13 categories and 130+ financial metrics.

Profitability
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
ROE 0.8% 12.4% -33.4% -55.7% 59.0% 64.7% -88.4% -82.9% -75.0% -58.2% -67.9% -64.2% -49.8% -41.8% -36.8% -17.2% -12.8% -13.5% -9.8% 2.4% 2.38%
ROA -0.5% -7.8% -15.6% -26.1% -35.6% -39.1% -36.1% -33.8% -30.6% -23.7% -23.9% -22.6% -17.5% -14.7% -13.2% -6.2% -4.6% -4.8% -4.3% 1.0% 1.05%
ROIC 0.8% 10.8% -27.5% -45.7% -54.6% -59.6% -50.7% -47.5% -42.8% -33.1% -31.3% -29.6% -23.1% -19.6% -17.9% -8.8% -6.7% -7.2% -3.7% -11.5% -11.54%
ROCE -0.7% -10.0% -20.6% -34.2% -40.8% -44.5% -57.8% -53.8% -48.2% -37.1% -35.3% -33.6% -26.2% -22.0% -17.9% -8.5% -6.3% -6.8% -4.8% -13.6% -13.62%
Gross Margin 18.5% 18.0% 16.4% 17.9% 18.2% 18.5% 17.0% 17.4% 18.1% 18.0% 18.3% 18.2% 17.4% 12.2% 17.5% 18.4% 18.2% 18.6% 10.4% 5.0% 4.96%
Operating Margin -0.4% -5.8% -10.7% -13.3% -4.9% -10.2% -13.8% -15.5% -3.0% -2.9% -7.6% -12.5% 1.3% -0.2% -2.9% -4.0% 1.9% -0.4% -1.6% -5.8% -5.77%
Net Margin -0.4% -5.7% -10.8% -13.5% -5.0% -10.3% -14.3% -15.7% -3.2% -2.9% -7.6% -12.6% 1.2% -0.1% -2.9% -3.7% 1.9% -0.2% -2.5% 0.8% 0.81%
EBITDA Margin 0.4% -4.8% -9.5% -11.9% -3.6% -8.7% -11.8% -12.6% -1.3% -1.2% -5.5% -10.5% 2.6% 1.3% -1.4% -1.8% 3.4% 1.2% -0.7% 0.3% 0.26%
FCF Margin 4.2% 1.9% -0.4% -2.3% -3.9% -5.0% -6.0% -5.2% -4.1% -2.6% -0.8% 0.6% 0.3% 0.7% 1.9% 2.0% 2.3% 2.8% 2.9% 0.2% 0.19%
OCF Margin 4.7% 2.6% 0.4% -1.4% -2.8% -3.8% -4.8% -4.2% -3.4% -2.1% -0.5% 0.8% 0.6% 1.0% 2.2% 2.3% 2.6% 3.0% 3.1% 0.4% 0.44%
ROE 3Y Avg snapshot only -28.90%
ROE 5Y Avg snapshot only -50.28%
ROA 3Y Avg snapshot only -10.46%
ROIC 3Y Avg snapshot only -18.24%
ROIC Economic snapshot only -11.19%
Cash ROA snapshot only 2.38%
Cash ROIC snapshot only 3.53%
CROIC snapshot only 1.52%
NOPAT Margin snapshot only -1.44%
Pretax Margin snapshot only -4.63%
R&D / Revenue snapshot only 3.79%
SGA / Revenue snapshot only 6.99%
SBC / Revenue snapshot only 3.37%
Valuation
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
P/E Ratio -698.85 -48.75 -13.04 -6.95 -2.74 -1.62 -1.69 -2.58 -3.16 -3.45 -5.66 -5.81 -7.80 -15.65 -19.37 -66.52 -69.42 -80.57 -103.35 294.45 434.405
P/S Ratio 2.54 1.41 0.69 0.49 0.23 0.15 0.17 0.26 0.32 0.28 0.37 0.35 0.35 0.58 0.53 0.81 0.59 0.68 0.87 0.50 0.615
P/B Ratio -5.75 -6.04 4.35 3.87 1.83 1.19 1.97 2.81 3.12 2.64 4.24 4.11 4.28 7.21 7.31 11.73 9.07 11.10 7.73 5.35 2.187
P/FCF 61.03 72.37 -171.60 -21.31 -5.84 -3.09 -2.81 -5.03 -7.74 -10.75 -49.02 63.45 104.89 81.14 28.27 40.22 25.26 24.20 29.74 264.63 264.633
P/OCF 54.29 54.51 196.37 46.18 61.39 59.11 24.62 35.31 22.67 22.51 27.90 114.24 114.240
EV/EBITDA 709.04 -68.97 -15.84 -8.15 -3.16 -1.85 -2.83 -4.08 -5.03 -6.16 -10.10 -10.34 -15.50 -32.41 -49.76 245.25 85.76 98.13 111.71 50.81 50.810
EV/Revenue 2.58 1.43 0.68 0.48 0.22 0.15 0.24 0.33 0.40 0.36 0.45 0.43 0.42 0.65 0.58 0.86 0.63 0.73 0.91 0.53 0.534
EV/EBIT -645.41 -48.83 -12.97 -6.93 -2.71 -1.59 -2.42 -3.39 -4.11 -4.69 -7.13 -7.30 -9.70 -18.12 -22.06 -72.83 -76.83 -85.42 -111.91 -27.79 -27.793
EV/FCF 61.92 73.38 -169.84 -21.07 -5.70 -2.98 -3.92 -6.42 -9.67 -13.90 -58.92 76.65 125.86 90.78 30.86 42.52 27.13 25.65 30.99 280.74 280.740
Earnings Yield -0.1% -2.1% -7.7% -14.4% -36.5% -61.6% -59.1% -38.8% -31.6% -29.0% -17.7% -17.2% -12.8% -6.4% -5.2% -1.5% -1.4% -1.2% -1.0% 0.3% 0.34%
FCF Yield 1.6% 1.4% -0.6% -4.7% -17.1% -32.3% -35.6% -19.9% -12.9% -9.3% -2.0% 1.6% 1.0% 1.2% 3.5% 2.5% 4.0% 4.1% 3.4% 0.4% 0.38%
PEG Ratio snapshot only 2.670
Price/Tangible Book snapshot only 38.184
EV/OCF snapshot only 121.194
EV/Gross Profit snapshot only 4.317
Shareholder Yield snapshot only 0.00%
Graham Number snapshot only $0.87
Leverage & Solvency
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Current Ratio 2.13 2.13 1.82 1.82 1.82 1.82 1.00 1.00 1.00 1.00 0.96 0.96 0.96 0.96 0.93 0.93 0.93 0.93 0.86 0.86 0.864
Quick Ratio 2.13 2.13 1.82 1.82 1.82 1.82 1.00 1.00 1.00 1.00 0.96 0.96 0.96 0.96 0.93 0.93 0.93 0.93 0.86 0.86 0.864
Debt/Equity -0.59 -0.59 0.69 0.69 0.69 0.69 1.48 1.48 1.48 1.48 1.25 1.25 1.25 1.25 1.22 1.22 1.22 1.22 0.58 0.58 0.580
Net Debt/Equity -0.04 -0.04 -0.04 -0.04 0.78 0.78 0.78 0.78 0.86 0.86 0.86 0.86 0.67 0.67 0.67 0.67 0.33 0.33 0.325
Debt/Assets 0.38 0.38 0.32 0.32 0.32 0.32 0.50 0.50 0.50 0.50 0.46 0.46 0.46 0.46 0.42 0.42 0.42 0.42 0.29 0.29 0.295
Debt/EBITDA 72.17 -6.69 -2.53 -1.47 -1.22 -1.11 -1.53 -1.68 -1.91 -2.66 -2.47 -2.59 -3.76 -5.00 -7.59 24.04 10.70 10.13 8.04 5.19 5.195
Net Debt/EBITDA 10.18 -0.94 0.16 0.09 0.08 0.07 -0.80 -0.88 -1.00 -1.40 -1.70 -1.78 -2.58 -3.44 -4.17 13.23 5.89 5.58 4.51 2.92 2.915
Interest Coverage -13.00 -83.23 -147.53 -179.12 -206.26 -209.38 -162.94 -89.62 -51.56 -35.86 -28.37 -32.08 -34.41 -30.79 -23.12 -9.68 -6.25 -6.34 -6.26 -3.65 -3.652
Equity Multiplier -1.58 -1.58 2.13 2.13 2.13 2.13 2.96 2.96 2.96 2.96 2.71 2.71 2.71 2.71 2.88 2.88 2.88 2.88 1.97 1.97 1.969
Cash Ratio snapshot only 0.542
Debt Service Coverage snapshot only 1.998
Cash to Debt snapshot only 0.439
FCF to Debt snapshot only 0.035
Defensive Interval snapshot only 79.3 days
Efficiency & Turnover
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Asset Turnover 1.43 2.71 2.95 3.72 4.28 4.12 3.61 3.35 3.03 2.94 3.63 3.70 3.85 3.97 4.81 5.07 5.38 5.68 5.12 6.12 6.115
Inventory Turnover
Receivables Turnover 18.71 35.43 65.20 82.36 72.94 70.25 74.80 69.34 62.80 60.86 69.74 71.12 74.07 76.30 84.27 88.79 94.16 99.43 107.10 127.84 127.837
Payables Turnover 43.45 82.54 126.25 159.38 156.66 150.69 157.45 146.11 132.43 128.55 172.34 175.42 183.21 192.50 300.57 316.10 333.96 346.15 456.32 571.14 571.137
DSO 20 10 6 4 5 5 5 5 6 6 5 5 5 5 4 4 4 4 3 3 2.9 days
DIO 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0.0 days
DPO 8 4 3 2 2 2 2 2 3 3 2 2 2 2 1 1 1 1 1 1 0.6 days
Cash Conversion Cycle 11 6 3 2 3 3 3 3 3 3 3 3 3 3 3 3 3 3 3 2 2.2 days
Fixed Asset Turnover snapshot only 16.790
Cash Velocity snapshot only 41.756
Capital Intensity snapshot only 0.185
Growth (YoY)
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Revenue 2.5% 76.5% 13.4% -16.8% -25.4% -24.9% -18.8% -10.7% 2.7% 9.2% 15.2% 19.1% 21.2% 24.3% 23.7% 40.1% 40.10%
Net Income -78.4% -4.8% -1.1% -20.1% 9.5% 36.0% 46.6% 46.1% 53.9% 50.1% 51.9% 76.2% 77.3% 71.5% 62.1% 1.2% 1.20%
EPS -69.1% -4.3% -97.6% -10.8% 15.9% 41.2% 51.8% 50.5% 58.3% 53.5% 54.5% 78.8% 80.4% 74.5% 66.1% 1.2% 1.19%
FCF -4.3% -5.5% -15.9% -88.6% 21.2% 60.8% 89.7% 1.1% 1.1% 1.3% 3.9% 3.3% 7.4% 3.9% 92.2% -86.8% -86.77%
EBITDA -68.2% -5.8% -1.2% -14.7% 16.0% 45.1% 56.7% 54.6% 64.5% 62.8% 69.7% 1.1% 1.3% 1.5% 1.9% 3.2% 3.22%
Op. Income -70.5% -4.6% -1.1% -18.5% 10.7% 36.8% 46.6% 45.9% 53.2% 48.7% 50.8% 74.4% 74.9% 68.5% 68.3% -98.2% -98.17%
OCF Growth snapshot only -73.09%
Asset Growth snapshot only 30.69%
Equity Growth snapshot only 91.01%
Debt Growth snapshot only -8.86%
Shares Change snapshot only 3.97%
Growth (CAGR)
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Revenue 3Y 38.5% 13.1% 2.0% -4.0% -2.4% 0.6% 5.0% 14.2% 14.21%
Revenue 5Y
EPS 3Y
EPS 5Y
Net Income 3Y
Net Income 5Y
EBITDA 3Y
EBITDA 5Y
Gross Profit 3Y 37.0% 8.9% -1.0% -6.6% -4.3% 1.4% 1.9% 1.0% 0.99%
Gross Profit 5Y
Op. Income 3Y
Op. Income 5Y
FCF 3Y -40.1% -19.1%
FCF 5Y
OCF 3Y -31.1% -18.2% 86.6%
OCF 5Y
Assets 3Y -5.3% -5.3% -13.2% -13.2% -13.2% -13.2% 0.1% 0.1% 0.14%
Assets 5Y
Equity 3Y -21.4% -21.4% -21.4% -21.4% 14.8% 14.8% 14.78%
Book Value 3Y -27.4% -28.4% -29.5% -28.2% 4.9% 6.0% 5.97%
Dividend 3Y
Growth Quality
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Revenue Stability 0.40 0.18 0.14 0.97 0.26 0.13 0.00 0.27 0.04 0.01 0.29 0.65 0.654
Earnings Stability 0.67 0.32 0.01 0.40 0.10 0.00 0.21 0.76 0.02 0.13 0.47 0.86 0.863
Margin Stability 0.98 0.98 0.99 0.99 0.98 0.95 0.95 0.95 0.97 0.95 0.94 0.84 0.835
Rev. Growth Consistency 0.00 0.00 0.00 0.00 0.50 0.50 0.50 0.00 0.00 0.00 0.00 0.00 0.50 0.50 0.50 0.50 1.00 1.00 1.00 1.00 1.000
Earn. Growth Consistency 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.50 0.50 0.50 0.50 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.000
FCF Positive Streak 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 1 1 1 1 1 1
Earnings Persistence 0.96 0.86 0.81 0.82 0.50 0.50 0.50 0.50 0.50 0.50 0.50 0.20 0.200
Earnings Smoothness
ROE Trend -0.00 0.11 0.28 0.29 0.58 0.72 0.64 0.48 0.49 0.46 0.461
Gross Margin Trend -0.00 -0.00 0.00 0.00 0.00 -0.01 -0.02 -0.02 -0.01 0.01 -0.01 -0.05 -0.049
FCF Margin Trend -0.04 -0.01 0.02 0.04 0.04 0.04 0.05 0.04 0.04 0.04 0.02 -0.01 -0.011
Sustainable Growth Rate 2.4% 2.38%
Internal Growth Rate 1.1% 1.06%
Cash Flow Quality
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
OCF/Net Income -12.87 -0.89 -0.07 0.20 0.34 0.41 0.48 0.42 0.34 0.27 0.08 -0.13 -0.13 -0.26 -0.79 -1.88 -3.06 -3.58 -3.70 2.58 2.577
FCF/OCF 0.89 0.75 -1.14 1.66 1.37 1.29 1.24 1.22 1.20 1.21 1.43 0.73 0.59 0.73 0.87 0.88 0.90 0.93 0.94 0.43 0.432
FCF/Net Income snapshot only 1.113
OCF/EBITDA snapshot only 0.419
CapEx/Revenue 0.5% 0.6% 0.8% 0.9% 1.1% 1.1% 1.2% 0.9% 0.7% 0.5% 0.2% 0.2% 0.2% 0.3% 0.3% 0.3% 0.3% 0.2% 0.2% 0.3% 0.25%
CapEx/Depreciation snapshot only 0.084
Accruals Ratio -0.07 -0.15 -0.17 -0.21 -0.23 -0.23 -0.19 -0.20 -0.20 -0.17 -0.22 -0.25 -0.20 -0.19 -0.24 -0.18 -0.19 -0.22 -0.20 -0.02 -0.016
Sloan Accruals snapshot only -0.202
Cash Flow Adequacy snapshot only 1.760
Earnings Quality Score snapshot only 1.000
Dividends & Buybacks
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Dividend Yield 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.00%
Dividend/Share $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00
Payout Ratio 0.0% 0.00%
FCF Payout Ratio 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.00%
Total Payout Ratio 0.0% 0.00%
Div. Increase Streak
Chowder Number
Buyback Yield 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.00%
Net Buyback Yield 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% -0.0% -0.0% -0.0% -0.0% 0.0% 0.0% -0.0% -0.1% -0.2% -0.6% -0.63%
Total Shareholder Return 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% 0.0% -0.0% -0.0% -0.0% -0.0% 0.0% 0.0% -0.0% -0.1% -0.2% -0.6% -0.63%
DuPont Factors
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Tax Burden (NI/EBT) 0.85 0.98 0.99 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00 1.00 0.99 0.99 0.95 0.93 0.94 0.98 -0.04 -0.037
Interest Burden (EBT/EBIT) 1.08 1.01 1.01 1.01 1.02 1.02 1.03 1.03 1.04 1.05 1.05 1.04 1.04 1.04 1.05 1.10 1.11 1.06 1.06 2.41 2.410
EBIT Margin -0.00 -0.03 -0.05 -0.07 -0.08 -0.09 -0.10 -0.10 -0.10 -0.08 -0.06 -0.06 -0.04 -0.04 -0.03 -0.01 -0.01 -0.01 -0.01 -0.02 -0.019
Asset Turnover 1.43 2.71 2.95 3.72 4.28 4.12 3.61 3.35 3.03 2.94 3.63 3.70 3.85 3.97 4.81 5.07 5.38 5.68 5.12 6.12 6.115
Equity Multiplier -1.58 -1.58 2.13 2.13 -165.74 -165.74 2.45 2.45 2.45 2.45 2.85 2.85 2.85 2.85 2.79 2.79 2.79 2.79 2.28 2.28 2.281
Per Share
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
EPS (Diluted TTM) $-0.02 $-0.27 $-0.70 $-1.13 $-1.32 $-1.43 $-1.38 $-1.25 $-1.11 $-0.84 $-0.66 $-0.62 $-0.46 $-0.39 $-0.30 $-0.13 $-0.09 $-0.10 $-0.10 $0.02 $0.02
Book Value/Share $-2.29 $-2.20 $2.09 $2.03 $1.97 $1.95 $1.18 $1.15 $1.12 $1.10 $0.89 $0.87 $0.84 $0.85 $0.80 $0.74 $0.69 $0.72 $1.37 $1.37 $3.85
Tangible Book/Share $-2.72 $-2.62 $1.31 $1.27 $1.23 $1.22 $0.50 $0.49 $0.48 $0.47 $0.29 $0.29 $0.28 $0.28 $0.20 $0.19 $0.17 $0.18 $0.19 $0.19 $0.19
Revenue/Share $5.17 $9.40 $13.14 $16.14 $15.82 $15.08 $13.78 $12.39 $10.96 $10.40 $10.10 $10.17 $10.18 $10.56 $11.01 $10.78 $10.64 $11.74 $12.17 $14.53 $11.32
FCF/Share $0.22 $0.18 $-0.05 $-0.37 $-0.62 $-0.75 $-0.83 $-0.64 $-0.45 $-0.27 $-0.08 $0.06 $0.03 $0.08 $0.21 $0.22 $0.25 $0.33 $0.36 $0.03 $0.02
OCF/Share $0.24 $0.24 $0.05 $-0.22 $-0.45 $-0.58 $-0.67 $-0.52 $-0.38 $-0.22 $-0.05 $0.08 $0.06 $0.10 $0.24 $0.25 $0.28 $0.36 $0.38 $0.06 $0.05
Cash/Share $1.17 $1.12 $1.53 $1.49 $1.44 $1.43 $0.83 $0.80 $0.79 $0.77 $0.35 $0.34 $0.33 $0.33 $0.44 $0.41 $0.38 $0.40 $0.35 $0.35 $0.66
EBITDA/Share $0.02 $-0.19 $-0.57 $-0.95 $-1.11 $-1.21 $-1.15 $-1.01 $-0.87 $-0.61 $-0.45 $-0.42 $-0.28 $-0.21 $-0.13 $0.04 $0.08 $0.09 $0.10 $0.15 $0.15
Debt/Share $1.36 $1.30 $1.44 $1.40 $1.36 $1.34 $1.75 $1.70 $1.66 $1.62 $1.10 $1.09 $1.05 $1.06 $0.97 $0.90 $0.84 $0.88 $0.79 $0.79 $0.79
Net Debt/Share $0.19 $0.18 $-0.09 $-0.09 $-0.09 $-0.09 $0.92 $0.89 $0.87 $0.85 $0.76 $0.75 $0.72 $0.73 $0.54 $0.50 $0.46 $0.48 $0.44 $0.44 $0.44
Academic Models
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Altman Z-Score 5.868
Altman Z-Prime snapshot only -0.856
Piotroski F-Score 3 3 3 2 3 4 3 1 2 2 3 5 4 4 5 6 6 6 5 6 6
Beneish M-Score -3.41 -3.43 -3.40 -3.39 -3.45 -3.33 -3.90 -4.10 -3.67 -3.41 -3.30 -3.02 -3.15 -3.47 -2.72 -0.39 -0.393
Ohlson O-Score snapshot only -7.481
ROIC (Greenblatt) snapshot only -35.88%
Net-Net WC snapshot only $-0.76
EVA snapshot only $-223256000.00
Credit
Metric Trend Q2'21 Q3'21 Q4'21 Q1'22 Q2'22 Q3'22 Q4'22 Q1'23 Q2'23 Q3'23 Q4'23 Q1'24 Q2'24 Q3'24 Q4'24 Q1'25 Q2'25 Q3'25 Q4'25 Q1'26 Current
Credit Rating snapshot only BB
Credit Score 20.00 20.00 50.51 50.50 44.18 39.91 29.67 29.37 24.98 24.87 27.02 35.24 34.77 46.76 49.57 44.14 43.93 49.91 52.93 43.28 43.280
Credit Grade snapshot only 12
Credit Trend snapshot only -0.861
Implied Spread (bps) snapshot only 475.000
Industry Credit Rank snapshot only 33
Sector Credit Rank snapshot only 25

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