Index RUT
P/E 9.73
EPS (ttm) 0.70
Insider Own 55.40%
Shs Outstand 215.03M
Perf Week -4.92%
Market Cap 1.45B
Forward P/E 8.01
EPS next Y 0.84
Insider Trans 0.00%
Shs Float 95.55M
Perf Month -13.43%
Income 148.68M
PEG -
EPS next Q 0.14
Inst Own 41.93%
Short Float 15.64%
Perf Quarter -3.97%
Sales 1.52B
P/S 0.96
EPS this Y -34.28%
Inst Trans 0.05%
Short Ratio 9.59
Perf Half Y -17.03%
Book/sh 4.82
P/B 1.40
EPS next Y 32.55%
ROA 11.97%
Short Interest 14.94M
Perf Year -0.44%
Cash/sh 0.99
P/C 6.84
EPS next 5Y -
ROE 15.16%
52W Range 6.34 - 9.41
Perf YTD -7.01%
Dividend Est. 0.16 (2.36%)
P/FCF 9.65
EPS past 5Y 2.02%
ROI 14.13%
52W High -28.09%
Beta 1.58
Dividend TTM 0.16 (2.36%)
Quick Ratio 4.01
Sales past 5Y 10.14%
Gross Margin 22.64%
52W Low 6.78%
ATR (14) 0.29
Dividend Ex-Date May 09, 2024
Current Ratio 4.75
EPS Y/Y TTM -44.80%
Oper. Margin 11.85%
RSI (14) 32.44
Volatility 3.91% 3.65%
Employees 2691
Debt/Eq 0.03
Sales Y/Y TTM -15.34%
Profit Margin 9.79%
Recom 3.20
Target Price 8.15
Option/Short Yes / Yes
LT Debt/Eq 0.02
EPS Q/Q -61.21%
Payout 17.74%
Rel Volume 1.41
Prev Close 6.62
Sales Surprise -3.94%
EPS Surprise -25.71%
Sales Q/Q -20.73%
Earnings Apr 25 BMO
Avg Volume 1.56M
Price 6.77
SMA20 -10.92%
SMA50 -10.66%
SMA200 -12.98%
Trades
Volume 2,201,406
Change 2.27%
Date
Action
Analyst
Rating Change
Price Target Change
Jun-16-23 Downgrade
Citigroup
Neutral → Sell
$8.25 → $7
Apr-28-22 Upgrade
Johnson Rice
Hold → Accumulate
$13
Sep-13-21 Upgrade
Citigroup
Sell → Neutral
Nov-10-20 Downgrade
Morgan Stanley
Equal-Weight → Underweight
$2.50
Apr-13-20 Upgrade
Scotiabank
Sector Underperform → Sector Perform
$3
Mar-16-20 Downgrade
Morgan Stanley
Overweight → Equal-Weight
$2.50
Jan-06-20 Upgrade
Raymond James
Mkt Perform → Outperform
$7
Jan-06-20 Downgrade
Scotiabank
Sector Perform → Sector Underperform
Dec-03-19 Downgrade
Credit Suisse
Neutral → Underperform
Nov-20-19 Downgrade
Citigroup
Neutral → Sell
Oct-21-19 Upgrade
Citigroup
Sell → Neutral
$4.80 → $4.90
Jul-25-19 Downgrade
Gabelli & Co
Buy → Hold
Apr-25-19 Reiterated
BofA/Merrill
Underperform
$12 → $9.50
Apr-04-19 Upgrade
Morgan Stanley
Underweight → Overweight
$11 → $15
Mar-11-19 Initiated
Goldman
Sell
$10
Jan-29-19 Upgrade
Seaport Global Securities
Neutral → Buy
$15
Jan-15-19 Downgrade
Barclays
Equal Weight → Underweight
$13 → $8
Jan-09-19 Downgrade
Citigroup
Neutral → Sell
Jan-07-19 Downgrade
Wells Fargo
Market Perform → Underperform
Jan-04-19 Downgrade
BofA/Merrill
Neutral → Underperform
Show Previous Ratings
Apr-30-24 10:01AM
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RPC, Inc. engages in the exploration, production and development of oil and gas properties. It operates through the following segments: Technical Services and Support Services. The Technical Services segment provides oil and gas, fracturing, acidizing, coiled tubing, snubbing, nitrogen, well control, wireline and fishing services. The Support Services segment offers oilfield pipe inspection services and rental tools for use with onshore and offshore oil and gas well drilling. The company was founded in 1984 and is headquartered in Atlanta, GA.
Index S&P 500
P/E 51.05
EPS (ttm) 0.90
Insider Own 40.16%
Shs Outstand 484.08M
Perf Week 2.72%
Market Cap 22.33B
Forward P/E 41.89
EPS next Y 1.10
Insider Trans -0.04%
Shs Float 289.75M
Perf Month 3.48%
Income 441.12M
PEG 3.93
EPS next Q 0.27
Inst Own 54.79%
Short Float 2.51%
Perf Quarter 4.77%
Sales 3.16B
P/S 7.06
EPS this Y 11.95%
Inst Trans 1.83%
Short Ratio 3.45
Perf Half Y 23.91%
Book/sh 2.41
P/B 19.13
EPS next Y 10.51%
ROA 18.39%
Short Interest 7.28M
Perf Year 10.73%
Cash/sh 0.25
P/C 182.50
EPS next 5Y 13.00%
ROE 35.93%
52W Range 32.19 - 47.45
Perf YTD 5.61%
Dividend Est. 0.61 (1.33%)
P/FCF 42.70
EPS past 5Y 13.46%
ROI 22.91%
52W High -2.80%
Beta 0.66
Dividend TTM 0.56 (1.21%)
Quick Ratio 0.66
Sales past 5Y 11.05%
Gross Margin 49.72%
52W Low 43.27%
ATR (14) 0.84
Dividend Ex-Date May 09, 2024
Current Ratio 0.72
EPS Y/Y TTM 16.97%
Oper. Margin 19.37%
RSI (14) 65.12
Volatility 1.92% 1.80%
Employees 19031
Debt/Eq 0.73
Sales Y/Y TTM 14.49%
Profit Margin 13.94%
Recom 2.18
Target Price 46.75
Option/Short Yes / Yes
LT Debt/Eq 0.65
EPS Q/Q 8.82%
Payout 60.85%
Rel Volume 0.85
Prev Close 44.74
Sales Surprise 1.25%
EPS Surprise -4.52%
Sales Q/Q 13.73%
Earnings Apr 24 AMC
Avg Volume 2.11M
Price 46.12
SMA20 4.81%
SMA50 3.13%
SMA200 11.57%
Trades
Volume 1,797,210
Change 3.08%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-15-24 Downgrade
UBS
Buy → Neutral
$49
Jan-02-24 Initiated
Goldman
Buy
$49
Dec-21-23 Initiated
Morgan Stanley
Equal-Weight
$42
Oct-20-23 Upgrade
Stifel
Hold → Buy
$40
Jul-05-23 Initiated
BofA Securities
Buy
$49
Jun-01-23 Initiated
UBS
Buy
$48
Feb-01-23 Initiated
Redburn
Buy
$62
Oct-25-22 Resumed
Jefferies
Hold
$36
Sep-06-22 Upgrade
RBC Capital Mkts
Sector Perform → Outperform
$40
Jul-13-22 Initiated
Wells Fargo
Equal Weight
$37
Sep-03-21 Resumed
RBC Capital Mkts
Sector Perform
$42
Nov-22-19 Initiated
Jefferies
Hold
Nov-06-19 Upgrade
Stifel
Sell → Hold
$28.50 → $34
Oct-08-19 Initiated
RBC Capital Mkts
Sector Perform
$34
Jun-26-19 Downgrade
Stifel
Hold → Sell
$36.50 → $25
Apr-30-19 Initiated
Macquarie
Neutral
Sep-17-18 Initiated
Gabelli & Co
Hold
$51
Aug-13-18 Reiterated
Stifel
Hold
$50 → $55
May-31-18 Initiated
Stifel
Hold
$50
May-09-18 Initiated
Buckingham Research
Neutral
$50
Show Previous Ratings
May-02-24 03:36PM
Apr-30-24 09:30AM
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10:29PM
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(Morningstar Research) -8.35%
04:49PM
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Rollins, Inc. is an international services company, which engages in the provision of pest and termite control services. Its service offerings include Residential, Commercial, and Termite. The company was founded by John W. Rollins Jr. and O. Wayne Rollins Sr. in 1948 and is headquartered in Atlanta, GA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Krause Kenneth D. EXEC. VP, CFO AND TREASURER Apr 26 '24 Sale 45.00 5,000 225,000 94,078 Apr 29 12:36 PM Krause Kenneth D. EXEC. VP, CFO AND TREASURER Mar 13 '24 Sale 46.18 5,000 230,900 99,078 Mar 14 02:12 PM Tesh Thomas D Chief Admin. Officer and CIO Mar 12 '24 Sale 46.00 5,147 236,762 35,387 Mar 13 02:14 PM Hornfeck Traci PRINCIPAL ACCOUNTING OFFICER Feb 29 '24 Sale 43.48 2,677 116,406 14,376 Feb 29 08:40 PM Chandler Elizabeth B CORPORATE SECRETARY Feb 21 '24 Sale 41.05 10,000 410,500 99,709 Feb 23 02:26 PM Wilson John F VICE CHAIRMAN Feb 05 '24 Sale 43.47 40,000 1,738,800 638,524 Feb 06 03:54 PM Gahlhoff Jerry Jr. PRESIDENT & CEO Dec 12 '23 Sale 42.00 3,000 126,000 215,091 Dec 13 09:50 AM Gahlhoff Jerry Jr. PRESIDENT & CEO Nov 21 '23 Sale 40.00 7,000 280,000 218,091 Nov 22 12:38 PM Gahlhoff Jerry Jr. PRESIDENT & CEO Sep 18 '23 Sale 38.00 7,000 266,000 225,091 Sep 19 03:56 PM Hardin Paul Russell Director Sep 12 '23 Buy 36.00 5,560 200,160 7,927 Sep 13 11:47 AM R. Randall Rollins Voting Trus 10% Owner Sep 11 '23 Sale 34.39 44,509,814 1,530,581,229 164,581,449 Sep 11 04:31 PM Gary W. Rollins Voting Trust U 10% Owner Sep 11 '23 Sale 34.39 44,509,814 1,530,581,229 164,581,449 Sep 11 04:30 PM LOR INC 10% Owner Sep 11 '23 Sale 34.39 44,509,814 1,530,581,229 164,581,449 Sep 11 04:30 PM Krause Kenneth D. EXEC. VP, CFO AND TREASURER Jun 12 '23 Sale 40.78 12,000 489,360 82,764 Jun 13 05:08 PM Rollins Timothy Curtis 10% Owner May 17 '23 Sale 41.42 17,982 744,827 138,964 May 31 04:16 PM
Index RUT
P/E 11.41
EPS (ttm) 1.00
Insider Own 68.91%
Shs Outstand 34.47M
Perf Week -0.35%
Market Cap 397.43M
Forward P/E 15.28
EPS next Y 0.75
Insider Trans 0.00%
Shs Float 10.74M
Perf Month 0.09%
Income 33.90M
PEG 1.14
EPS next Q 0.14
Inst Own 14.71%
Short Float 2.94%
Perf Quarter 9.25%
Sales 334.15M
P/S 1.19
EPS this Y -50.41%
Inst Trans -1.29%
Short Ratio 6.30
Perf Half Y 18.88%
Book/sh 4.36
P/B 2.63
EPS next Y 25.00%
ROA 17.47%
Short Interest 0.32M
Perf Year -17.26%
Cash/sh 2.34
P/C 4.89
EPS next 5Y 10.00%
ROE 23.86%
52W Range 9.18 - 17.81
Perf YTD 0.53%
Dividend Est. -
P/FCF 10.87
EPS past 5Y 8.56%
ROI 22.40%
52W High -35.65%
Beta 1.26
Dividend TTM 0.56 (4.89%)
Quick Ratio 2.94
Sales past 5Y 6.55%
Gross Margin 22.55%
52W Low 24.84%
ATR (14) 0.43
Dividend Ex-Date May 09, 2024
Current Ratio 4.70
EPS Y/Y TTM -22.87%
Oper. Margin 10.46%
RSI (14) 55.05
Volatility 4.75% 3.80%
Employees 690
Debt/Eq 0.00
Sales Y/Y TTM -21.06%
Profit Margin 10.15%
Recom 3.00
Target Price 11.00
Option/Short Yes / Yes
LT Debt/Eq 0.00
EPS Q/Q -60.48%
Payout 46.25%
Rel Volume 0.86
Prev Close 11.38
Sales Surprise -
EPS Surprise -
Sales Q/Q -41.69%
Earnings Apr 25 BMO
Avg Volume 50.04K
Price 11.46
SMA20 2.04%
SMA50 4.44%
SMA200 -5.95%
Trades
Volume 43,220
Change 0.70%
Date
Action
Analyst
Rating Change
Price Target Change
Aug-23-23 Initiated
DA Davidson
Neutral
$16
Jun-08-20 Reiterated
B. Riley FBR
Neutral
$10 → $11.50
Dec-26-18 Upgrade
B. Riley FBR
Sell → Neutral
$16
Dec-10-18 Downgrade
B. Riley FBR
Neutral → Sell
$19 → $16
Jul-23-08 Reiterated
Wedbush Morgan
Hold
$7 → $6
Jul-21-08 Reiterated
Wedbush Morgan
Hold
$8 → $7
Jan-22-08 Reiterated
Wedbush Morgan
Hold
$9 → $8
Feb-07-07 Upgrade
KeyBanc Capital Mkts / McDonald
Underweight → Hold
Jan-09-07 Downgrade
KeyBanc Capital Mkts / McDonald
Hold → Underweight
$9.50
Apr-26-24 08:20AM
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Marine Products Corp. engages in the design, manufacture, and sale of fiberglass powerboats through its subsidiary. Its products include Vortex, Robalo, and Chaparral. The company was founded on August 31, 2000 and is headquartered in Atlanta, GA.
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