Index RUT
P/E -
EPS (ttm) -0.48
Insider Own 32.09%
Shs Outstand 79.81M
Perf Week 1.30%
Market Cap 72.42M
Forward P/E -
EPS next Y -
Insider Trans -0.10%
Shs Float 69.19M
Perf Month 1.55%
Income -37.60M
PEG -
EPS next Q -
Inst Own 26.84%
Short Float 6.99%
Perf Quarter -28.91%
Sales 1.42B
P/S 0.05
EPS this Y -
Inst Trans -7.18%
Short Ratio 18.69
Perf Half Y -40.26%
Book/sh -2.07
P/B -
EPS next Y -
ROA -3.21%
Short Interest 4.84M
Perf Year -73.57%
Cash/sh 0.80
P/C 0.89
EPS next 5Y -
ROE -
52W Range 0.53 - 2.84
Perf YTD -42.21%
Dividend Est. -
P/FCF 8.94
EPS past 5Y -
ROI -6.50%
52W High -74.97%
Beta 2.21
Dividend TTM -
Quick Ratio 1.20
Sales past 5Y 2.37%
Gross Margin 13.76%
52W Low 34.12%
ATR (14) 0.07
Dividend Ex-Date Aug 28, 2013
Current Ratio 1.25
EPS Y/Y TTM 8.59%
Oper. Margin 2.21%
RSI (14) 52.31
Volatility 12.94% 9.47%
Employees 4024
Debt/Eq -
Sales Y/Y TTM -13.09%
Profit Margin -2.64%
Recom 1.00
Target Price 11.00
Option/Short Yes / Yes
LT Debt/Eq -
EPS Q/Q -35.49%
Payout -
Rel Volume 0.48
Prev Close 0.75
Sales Surprise -
EPS Surprise -
Sales Q/Q -11.80%
Earnings May 07 AMC
Avg Volume 258.91K
Price 0.71
SMA20 8.52%
SMA50 2.66%
SMA200 -38.08%
Trades
Volume 24,879
Change -5.69%
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INNOVATE Corp. is a diversified holding company, which engages in the acquisition and investment of assets. It operates through the following segments: Infrastructure, Life Sciences, Spectrum, and Other. The Infrastructure segment consists of DBM Global Inc. and its wholly owned subsidiaries. DBMG is a fully integrated industrial construction, structural steel, and facility maintenance provider that provides fabrication and erection of structural steel and heavy steel plate services. The Life Sciences segment refers to Pansend Life Sciences LLC, its subsidiaries, and its equity investments. The Spectrum segment focuses on HC2 Broadcasting Holdings Inc. and its subsidiaries. The Other segment represents all other businesses or investments that do not meet the definition of a segment individually or in aggregate. The company was founded in 1994 and is headquartered in New York, NY.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Voigt Paul Interim CEO Apr 24 '24 Option Exercise 0.70 369,130 258,391 1,660,698 Apr 25 05:10 PM Sena Michael J. Chief Financial Officer Apr 24 '24 Option Exercise 0.70 114,285 80,000 1,171,632 Apr 25 05:09 PM GFELLER WARREN H Director Apr 24 '24 Option Exercise 0.70 63,428 44,400 352,388 Apr 25 05:09 PM Sena Michael J. CFO and Corporate Secretary Mar 15 '24 Sale 0.62 21,471 13,349 1,057,347 Mar 18 04:16 PM Sena Michael J. CFO and Corporate Secretary Mar 14 '24 Sale 0.69 11,675 8,004 1,078,818 Mar 18 04:16 PM BARR WAYNE JR President and CEO May 23 '23 Buy 1.48 5,000 7,400 436,660 May 23 05:41 PM
Index -
P/E 1.08
EPS (ttm) 4.80
Insider Own 89.19%
Shs Outstand 3.53M
Perf Week 6.06%
Market Cap 36.05M
Forward P/E -
EPS next Y -
Insider Trans -0.00%
Shs Float 0.75M
Perf Month 12.43%
Income 16.06M
PEG -
EPS next Q -2.50
Inst Own 4.79%
Short Float 2.60%
Perf Quarter 19.84%
Sales 131.29M
P/S 0.27
EPS this Y -39.43%
Inst Trans -
Short Ratio 1.27
Perf Half Y 56.41%
Book/sh 20.57
P/B 0.25
EPS next Y -
ROA 4.59%
Short Interest 0.02M
Perf Year -44.31%
Cash/sh 0.80
P/C 6.47
EPS next 5Y -
ROE 25.84%
52W Range 2.99 - 18.00
Perf YTD 15.85%
Dividend Est. -
P/FCF -
EPS past 5Y -
ROI 19.64%
52W High -71.30%
Beta 1.75
Dividend TTM -
Quick Ratio 0.16
Sales past 5Y 45.23%
Gross Margin 14.62%
52W Low 72.55%
ATR (14) 0.28
Dividend Ex-Date -
Current Ratio 0.22
EPS Y/Y TTM 103.04%
Oper. Margin -13.94%
RSI (14) 62.03
Volatility 5.35% 5.56%
Employees 576
Debt/Eq 2.36
Sales Y/Y TTM -18.52%
Profit Margin 12.23%
Recom 3.00
Target Price 4.75
Option/Short No / Yes
LT Debt/Eq 0.13
EPS Q/Q 136.56%
Payout 0.00%
Rel Volume 4.37
Prev Close 5.14
Sales Surprise -2.28%
EPS Surprise -103.66%
Sales Q/Q -20.96%
Earnings Nov 14 BMO
Avg Volume 15.38K
Price 5.16
SMA20 7.05%
SMA50 11.42%
SMA200 -11.47%
Trades
Volume 13,688
Change 0.49%
Index -
P/E 31.62
EPS (ttm) 7.92
Insider Own 3.23%
Shs Outstand 20.21M
Perf Week 22.32%
Market Cap 5.07B
Forward P/E 14.73
EPS next Y 17.01
Insider Trans -0.08%
Shs Float 19.56M
Perf Month 11.06%
Income 164.13M
PEG 3.16
EPS next Q 4.15
Inst Own 91.58%
Short Float 2.45%
Perf Quarter 9.17%
Sales 4.09B
P/S 1.24
EPS this Y 6.42%
Inst Trans -2.98%
Short Ratio 2.57
Perf Half Y 23.86%
Book/sh 67.01
P/B 3.74
EPS next Y 6.70%
ROA 4.64%
Short Interest 0.48M
Perf Year -13.63%
Cash/sh 8.37
P/C 29.94
EPS next 5Y 10.00%
ROE 11.13%
52W Range 188.62 - 303.57
Perf YTD 7.28%
Dividend Est. 2.40 (0.96%)
P/FCF 23.08
EPS past 5Y 11.14%
ROI 6.14%
52W High -17.48%
Beta 1.03
Dividend TTM 2.40 (0.96%)
Quick Ratio 1.65
Sales past 5Y 9.22%
Gross Margin 30.19%
52W Low 32.81%
ATR (14) 6.45
Dividend Ex-Date Mar 27, 2024
Current Ratio 2.64
EPS Y/Y TTM -35.15%
Oper. Margin 11.78%
RSI (14) 75.69
Volatility 4.08% 2.28%
Employees 11125
Debt/Eq 0.90
Sales Y/Y TTM -7.61%
Profit Margin 4.01%
Recom 1.67
Target Price 288.33
Option/Short Yes / Yes
LT Debt/Eq 0.90
EPS Q/Q 24.68%
Payout 33.66%
Rel Volume 0.43
Prev Close 247.72
Sales Surprise -0.93%
EPS Surprise 30.49%
Sales Q/Q -7.97%
Earnings May 01 AMC
Avg Volume 186.38K
Price 250.51
SMA20 14.72%
SMA50 15.27%
SMA200 9.57%
Trades
Volume 16,299
Change 1.13%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-10-24 Upgrade
DA Davidson
Neutral → Buy
$230 → $290
Oct-26-23 Downgrade
Northcoast
Buy → Neutral
Jul-15-22 Initiated
Northcoast
Buy
$300
Jun-03-22 Initiated
ROTH Capital
Buy
$297
Jul-22-21 Upgrade
Boenning & Scattergood
Neutral → Outperform
$350
Nov-02-20 Upgrade
William Blair
Mkt Perform → Outperform
Jul-07-20 Upgrade
Stifel
Hold → Buy
$128 → $144
Feb-24-20 Downgrade
Stifel
Buy → Hold
$168 → $137
Feb-21-20 Downgrade
DA Davidson
Buy → Neutral
$145
Apr-25-19 Upgrade
Stifel
Hold → Buy
$135 → $153
Jul-25-18 Reiterated
Stifel
Hold
$135 → $145
Jul-13-18 Downgrade
Boenning & Scattergood
Outperform → Neutral
Apr-16-18 Reiterated
Stifel
Hold
$160 → $141
Jan-23-18 Downgrade
Seaport Global Securities
Buy → Neutral
Jan-16-18 Reiterated
Stifel
Hold
$174 → $181
Dec-11-17 Downgrade
Stifel
Buy → Hold
$177 → $174
Sep-06-17 Initiated
Seaport Global Securities
Buy
$160
Aug-11-17 Upgrade
Boenning & Scattergood
Neutral → Outperform
Apr-21-17 Reiterated
Stifel
Buy
$167 → $170
Apr-17-17 Upgrade
Stifel
Hold → Buy
$160 → $167
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Valmont Industries, Inc. engages in the manufacture of products and services for infrastructure and agriculture markets. It operates through the Infrastructure and Agriculture segments. The Infrastructure segment includes five primary product lines such as Transmission, Distribution, and Substation, Lighting and Transportation, Coatings, Telecommunications, and Renewable Energy. The Agriculture segment produces mechanized irrigation equipment and related services. The company was founded by Robert B. Daugherty in 1946 and is headquartered in Omaha, NE.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Schapper Aaron M Group Pres. Agriculture & CSO Dec 04 '23 Sale 226.51 495 112,122 22,576 Dec 06 04:01 PM Parnell Thomas Mitchell EVP, Human Resources Nov 16 '23 Option Exercise 168.80 1,687 284,766 6,502 Nov 20 04:10 PM
Index -
P/E -
EPS (ttm) -1.50
Insider Own 11.43%
Shs Outstand 16.26M
Perf Week 3.48%
Market Cap 115.67M
Forward P/E -
EPS next Y -
Insider Trans 0.54%
Shs Float 14.40M
Perf Month 7.37%
Income -24.40M
PEG -
EPS next Q 0.08
Inst Own 61.80%
Short Float 0.59%
Perf Quarter 52.24%
Sales 151.07M
P/S 0.77
EPS this Y 133.77%
Inst Trans -2.86%
Short Ratio 0.84
Perf Half Y 79.40%
Book/sh 4.86
P/B 1.47
EPS next Y -
ROA -18.54%
Short Interest 0.09M
Perf Year 106.96%
Cash/sh 2.96
P/C 2.42
EPS next 5Y 31.60%
ROE -26.88%
52W Range 2.95 - 7.93
Perf YTD 64.90%
Dividend Est. -
P/FCF 26.77
EPS past 5Y -2.14%
ROI -24.80%
52W High -9.96%
Beta 0.48
Dividend TTM -
Quick Ratio 3.34
Sales past 5Y 2.74%
Gross Margin -7.61%
52W Low 142.03%
ATR (14) 0.41
Dividend Ex-Date Nov 09, 2017
Current Ratio 3.40
EPS Y/Y TTM -593.74%
Oper. Margin -17.60%
RSI (14) 56.62
Volatility 8.16% 6.23%
Employees 839
Debt/Eq 0.27
Sales Y/Y TTM 6.15%
Profit Margin -16.15%
Recom 2.00
Target Price 8.00
Option/Short Yes / Yes
LT Debt/Eq 0.25
EPS Q/Q 1167.73%
Payout -
Rel Volume 0.32
Prev Close 7.19
Sales Surprise 23.24%
EPS Surprise 2300.00%
Sales Q/Q 16.81%
Earnings May 07 AMC
Avg Volume 101.29K
Price 7.14
SMA20 5.69%
SMA50 8.40%
SMA200 55.35%
Trades
Volume 6,655
Change -0.70%
Date
Action
Analyst
Rating Change
Price Target Change
Mar-08-24 Upgrade
Johnson Rice
Hold → Accumulate
Mar-31-14 Downgrade
Howard Weil
Sector Outperform → Sector Perform
$26
Aug-28-13 Upgrade
Howard Weil
Sector Perform → Sector Outperform
$29
Apr-29-13 Reiterated
Howard Weil
Sector Perform
$27 → $23
Dec-15-11 Initiated
BB&T Capital Mkts
Buy
$35
Oct-25-11 Initiated
KeyBanc Capital Mkts
Buy
$37
Apr-23-10 Upgrade
Broadpoint AmTech
Neutral → Buy
$28
Feb-24-10 Initiated
Broadpoint AmTech Research
Neutral
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Gulf Island Fabrication, Inc. engages in the business of fabricating complex steel structures and modules and the provision of specialty services. It operates through the following segments: Services, Fabrication, Shipyard, and Corporate. The Services segment provides maintenance, repair, construction, scaffolding, coatings, and welding enclosures on offshore platforms and inland structures and at industrial facilities. The Fabrication segment fabricates modules, skids, and piping systems for onshore refining, petrochemical, liquefied natural gas, and industrial and offshore facilities. The Shipyard segment includes divested shipyard contracts and facility. The Corporate segment focuses on the costs of maintaining corporate office, executive management salaries and incentives, board of directors' fees, certain insurance costs, and costs associated with overall corporate governance and reporting requirements. The company was founded by Alden J. Laborde in 1985 and is headquartered in The Woodlands, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Averick Robert M Director Nov 14 '23 Buy 3.97 10,000 39,700 18,000 Nov 16 04:01 PM
Index RUT
P/E 30.23
EPS (ttm) 2.92
Insider Own 1.63%
Shs Outstand 48.60M
Perf Week 15.94%
Market Cap 4.28B
Forward P/E 20.97
EPS next Y 4.20
Insider Trans 0.00%
Shs Float 47.77M
Perf Month 4.91%
Income 142.20M
PEG 7.37
EPS next Q 0.82
Inst Own 91.30%
Short Float 0.88%
Perf Quarter 9.43%
Sales 2.36B
P/S 1.82
EPS this Y 11.27%
Inst Trans -1.05%
Short Ratio 1.77
Perf Half Y 30.26%
Book/sh 48.84
P/B 1.80
EPS next Y 16.92%
ROA 4.01%
Short Interest 0.42M
Perf Year 31.15%
Cash/sh 3.63
P/C 24.25
EPS next 5Y 4.10%
ROE 6.16%
52W Range 61.98 - 89.07
Perf YTD 6.65%
Dividend Est. 0.20 (0.23%)
P/FCF 42.50
EPS past 5Y 16.04%
ROI 4.74%
52W High -1.05%
Beta 0.76
Dividend TTM 0.20 (0.23%)
Quick Ratio 1.36
Sales past 5Y 9.72%
Gross Margin 18.95%
52W Low 42.20%
ATR (14) 2.27
Dividend Ex-Date Apr 12, 2024
Current Ratio 2.28
EPS Y/Y TTM -49.55%
Oper. Margin 7.60%
RSI (14) 69.66
Volatility 3.94% 2.57%
Employees 6075
Debt/Eq 0.27
Sales Y/Y TTM 4.48%
Profit Margin 6.03%
Recom 1.40
Target Price 98.80
Option/Short Yes / Yes
LT Debt/Eq 0.26
EPS Q/Q -29.69%
Payout 6.14%
Rel Volume 0.36
Prev Close 87.01
Sales Surprise 3.20%
EPS Surprise 39.85%
Sales Q/Q 8.99%
Earnings May 02 AMC
Avg Volume 236.90K
Price 88.14
SMA20 11.51%
SMA50 7.93%
SMA200 14.01%
Trades
Volume 17,447
Change 1.29%
Date
Action
Analyst
Rating Change
Price Target Change
Oct-17-23 Upgrade
Sidoti
Neutral → Buy
$90
Nov-08-22 Downgrade
Stephens
Overweight → Equal-Weight
$75 → $65
Nov-02-21 Initiated
Loop Capital
Buy
$63
Oct-05-21 Initiated
Berenberg
Buy
$63
Sep-07-21 Resumed
Stephens
Overweight
$60
Jul-26-21 Upgrade
Sidoti
Neutral → Buy
$66
May-03-21 Upgrade
Gabelli & Co
Hold → Buy
Feb-22-21 Downgrade
Sidoti
Buy → Neutral
$64 → $67
Dec-15-20 Downgrade
CJS Securities
Market Outperform → Market Perform
Nov-19-20 Downgrade
Gabelli & Co
Buy → Hold
Sep-18-19 Initiated
Sidoti
Buy
$47
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Arcosa, Inc. engages in the provision of infrastructure-related products and services. It operates through the following segments: Construction Products, Energy Equipment, and Transportation Products. The Construction Products segment produces and sells construction aggregates, and manufactures and sells trench shields and shoring products and services for infrastructure-related projects. The Energy Equipment manufactures and sells products for energy-related businesses, including structural wind towers, steel utility structures for electricity transmission and distribution, and storage and distribution containers. The Transportation Products segment covers the manufacture and sale of products for the inland waterway and rail transportation industries, including barges, barge-related products, axles, and couplers. The company was founded in December 2017 and is headquartered in Dallas, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Carrillo Antonio President & CEO Aug 17 '23 Sale 76.59 8,398 643,208 348,972 Aug 17 05:41 PM Carrillo Antonio President & CEO Aug 16 '23 Sale 77.32 26,233 2,028,436 357,370 Aug 16 06:16 PM Carrillo Antonio President & CEO Aug 15 '23 Sale 78.25 14,411 1,127,700 383,603 Aug 16 06:16 PM Cole Kerry S Group President May 25 '23 Sale 66.24 5,000 331,200 23,002 May 25 06:12 PM Cole Kerry S Group President May 18 '23 Sale 69.12 9,001 622,149 28,002 May 19 04:43 PM Collins Jesse E. Jr. Group President May 17 '23 Sale 69.19 8,591 594,439 16,766 May 18 05:38 PM GAFFORD RONALD J Director May 10 '23 Sale 68.65 2,370 162,700 24,995 May 11 04:39 PM
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