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Last Close
May 02 04:00PM ET
14.71
Dollar change
-0.06
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IndexRUT P/E- EPS (ttm)-0.42 Insider Own91.54% Shs Outstand28.50M Perf Week2.44%
Market Cap416.15M Forward P/E4.28 EPS next Y3.44 Insider Trans0.00% Shs Float2.39M Perf Month-11.17%
Income-12.10M PEG- EPS next Q-0.01 Inst Own3.83% Short Float2.04% Perf Quarter3.30%
Sales1.92B P/S0.22 EPS this Y433.33% Inst Trans12.13% Short Ratio7.52 Perf Half Y31.81%
Book/sh32.84 P/B0.45 EPS next Y145.71% ROA-0.43% Short Interest0.05M Perf Year-2.00%
Cash/sh17.17 P/C0.86 EPS next 5Y13.50% ROE-1.28% 52W Range10.80 - 17.61 Perf YTD-3.16%
Dividend Est.- P/FCF- EPS past 5Y- ROI-0.81% 52W High-16.47% Beta1.37
Dividend TTM0.32 (2.18%) Quick Ratio1.73 Sales past 5Y1.83% Gross Margin12.76% 52W Low36.20% ATR (14)0.57
Dividend Ex-DateMar 08, 2024 Current Ratio2.91 EPS Y/Y TTM-113.42% Oper. Margin-1.61% RSI (14)43.59 Volatility2.33% 3.17%
Employees2196 Debt/Eq0.61 Sales Y/Y TTM-13.53% Profit Margin-0.63% Recom5.00 Target Price11.00
Option/ShortNo / Yes LT Debt/Eq0.60 EPS Q/Q141.48% Payout- Rel Volume0.97 Prev Close14.77
Sales Surprise- EPS Surprise- Sales Q/Q12.52% EarningsMar 07 AMC Avg Volume6.48K Price14.71
SMA20-3.72% SMA50-2.56% SMA2005.67% Trades Volume6,353 Change-0.41%
Date Action Analyst Rating Change Price Target Change
Aug-28-15Reiterated Barclays Underweight $6 → $4
Aug-19-14Reiterated Barclays Underweight $5 → $6
Feb-03-14Initiated Barclays Underweight $5
May-17-07Downgrade Matrix Research Hold → Sell
Apr-12-07Upgrade Matrix Research Sell → Hold
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Valhi, Inc. is a holding company, which engages in the manufacture and marketing of titanium dioxide pigments. It operates through the following segments: Chemicals, Component Products, and Real Estate Management and Development. The Chemicals segment produces and markets titanium dioxide pigments for paints, plastics, paper, fibers, and ceramics. The Component Products segment includes security products used in the recreational transportation, postal, office and institutional furniture, tool storage, healthcare, and a variety of other industries. The Real Estate Management and Development segment covers real estate management and development. The company was founded in 1987 and is headquartered in Dallas, TX.
Last Close
May 02 04:00PM ET
8.04
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NL NL Industries, Inc. daily Stock Chart
IndexRUT P/E- EPS (ttm)-63.64 Insider Own83.00% Shs Outstand48.83M Perf Week1.77%
Market Cap392.59M Forward P/E9.46 EPS next Y0.85 Insider Trans0.00% Shs Float8.30M Perf Month-2.78%
Income-2.31M PEG- EPS next Q0.12 Inst Own10.76% Short Float1.41% Perf Quarter50.00%
Sales161.29M P/S2.43 EPS this Y1320.00% Inst Trans4.85% Short Ratio3.87 Perf Half Y61.45%
Book/sh7.57 P/B1.06 EPS next Y39.34% ROA-0.38% Short Interest0.12M Perf Year34.00%
Cash/sh3.43 P/C2.34 EPS next 5Y10.30% ROE-0.61% 52W Range4.46 - 8.60 Perf YTD43.32%
Dividend Est.- P/FCF10.94 EPS past 5Y43.77% ROI-0.62% 52W High-6.51% Beta0.64
Dividend TTM0.29 (3.61%) Quick Ratio6.16 Sales past 5Y7.07% Gross Margin30.14% 52W Low80.27% ATR (14)0.35
Dividend Ex-DateNov 30, 2023 Current Ratio7.17 EPS Y/Y TTM-106.81% Oper. Margin11.49% RSI (14)58.18 Volatility5.09% 4.23%
Employees2751 Debt/Eq0.00 Sales Y/Y TTM-3.17% Profit Margin-1.43% Recom5.00 Target Price5.00
Option/ShortYes / Yes LT Debt/Eq0.00 EPS Q/Q225.12% Payout- Rel Volume0.77 Prev Close8.00
Sales Surprise- EPS Surprise- Sales Q/Q7.99% EarningsMar 06 AMC Avg Volume30.29K Price8.04
SMA200.27% SMA5015.30% SMA20043.29% Trades Volume23,095 Change0.50%
Date Action Analyst Rating Change Price Target Change
May-25-21Downgrade Barclays Equal Weight → Underweight $16 → $7
Nov-15-17Reiterated Barclays Underweight $7 → $14
Apr-07-17Reiterated Barclays Underweight $3 → $6
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NL Industries, Inc. is a holding company, which engages in the manufacture of component products and chemicals. Through its subsidiary, it offers engineered components, including mechanical and electrical cabinet locks, stainless steel exhaust components, gauges, throttle controls, wake enhancement systems, trim tabs, and related hardware and accessories. It operates through the following geographical segments: United States, Canada, Mexico, and Other. The firm also holds an interest in a chemicals business which produces and markets value-added titanium dioxide pigments. The company was founded in 1891 and is headquartered in Dallas, TX.
Last Close
May 02 04:00PM ET
11.98
Dollar change
+0.27
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KRO Kronos Worldwide, Inc. daily Stock Chart
IndexRUT P/E- EPS (ttm)-0.43 Insider Own81.28% Shs Outstand115.10M Perf Week5.46%
Market Cap1.38B Forward P/E16.22 EPS next Y0.74 Insider Trans0.00% Shs Float21.53M Perf Month-1.40%
Income-49.10M PEG- EPS next Q0.01 Inst Own15.37% Short Float3.66% Perf Quarter25.58%
Sales1.67B P/S0.83 EPS this Y191.47% Inst Trans4.84% Short Ratio3.03 Perf Half Y73.62%
Book/sh7.02 P/B1.71 EPS next Y87.74% ROA-2.60% Short Interest0.79M Perf Year31.07%
Cash/sh1.71 P/C7.00 EPS next 5Y-9.48% ROE-5.56% 52W Range6.16 - 12.48 Perf YTD20.52%
Dividend Est.0.38 (3.17%) P/FCF- EPS past 5Y- ROI-3.87% 52W High-4.01% Beta1.19
Dividend TTM0.76 (6.34%) Quick Ratio1.49 Sales past 5Y0.61% Gross Margin9.89% 52W Low94.48% ATR (14)0.36
Dividend Ex-DateMar 04, 2024 Current Ratio3.01 EPS Y/Y TTM-147.16% Oper. Margin-3.58% RSI (14)60.55 Volatility2.96% 2.80%
Employees2196 Debt/Eq0.57 Sales Y/Y TTM-13.66% Profit Margin-2.95% Recom3.67 Target Price9.67
Option/ShortYes / Yes LT Debt/Eq0.57 EPS Q/Q73.26% Payout- Rel Volume0.55 Prev Close11.71
Sales Surprise5.55% EPS Surprise64.36% Sales Q/Q16.85% EarningsMar 06 AMC Avg Volume260.11K Price11.98
SMA202.98% SMA509.42% SMA20031.13% Trades Volume145,086 Change2.31%
Date Action Analyst Rating Change Price Target Change
Oct-13-22Initiated Goldman Sell $9
Mar-28-17Downgrade Standpoint Research Buy → Hold
Mar-14-17Reiterated Barclays Underweight $7 → $12
Aug-28-15Reiterated Barclays Underweight $11 → $8
Aug-18-15Reiterated Deutsche Bank Hold $13 → $8
Feb-03-14Initiated Barclays Underweight $12
May-10-13Reiterated Deutsche Bank Hold $18 → $16
Mar-13-13Reiterated Argus Hold $14 → $18
Jan-03-13Downgrade Oppenheimer Outperform → Perform
Mar-02-12Initiated Standpoint Research Buy $32
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Kronos Worldwide, Inc. engages in the production and marketing of value-added titanium dioxide pigments. Its products are used for coatings and inks, plastics, paper and paper laminates, man-made fibers, health, food, and beauty, and ceramic, glass, and welding rods applications. The firm also offers assistance in pigment selection, consultation, on-site training, testing on lab scale equipment, and weathering tests technical services. The company was founded in 1916 and is headquartered in Dallas, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Hanley Bryan A.Senior VP and TreasurerMar 11 '24Buy10.651,00010,6522,500Mar 12 08:20 AM
NACE ANDREW BExecutive Vice PresidentAug 07 '23Buy9.172,72825,00015,453Aug 09 10:34 AM
NACE ANDREW BExecutive Vice PresidentMay 24 '23Buy8.314,00033,22112,725May 24 03:21 PM
Last Close
May 02 04:00PM ET
30.20
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CIX Compx International, Inc. daily Stock Chart
IndexRUT P/E16.46 EPS (ttm)1.84 Insider Own87.79% Shs Outstand12.31M Perf Week-6.82%
Market Cap371.76M Forward P/E- EPS next Y- Insider Trans0.00% Shs Float1.50M Perf Month-8.87%
Income22.59M PEG- EPS next Q- Inst Own7.72% Short Float1.40% Perf Quarter20.85%
Sales161.29M P/S2.30 EPS this Y- Inst Trans-4.65% Short Ratio1.46 Perf Half Y60.47%
Book/sh13.71 P/B2.20 EPS next Y- ROA12.38% Short Interest0.02M Perf Year60.98%
Cash/sh6.23 P/C4.84 EPS next 5Y- ROE13.81% 52W Range17.39 - 39.91 Perf YTD19.46%
Dividend Est.- P/FCF15.06 EPS past 5Y8.28% ROI13.38% 52W High-24.33% Beta0.83
Dividend TTM1.05 (3.48%) Quick Ratio5.58 Sales past 5Y7.07% Gross Margin30.52% 52W Low73.70% ATR (14)1.88
Dividend Ex-DateMar 08, 2024 Current Ratio7.36 EPS Y/Y TTM8.52% Oper. Margin15.77% RSI (14)42.46 Volatility5.87% 5.34%
Employees555 Debt/Eq0.00 Sales Y/Y TTM-3.17% Profit Margin14.01% Recom- Target Price-
Option/ShortNo / Yes LT Debt/Eq0.00 EPS Q/Q40.55% Payout54.49% Rel Volume0.39 Prev Close31.42
Sales Surprise- EPS Surprise- Sales Q/Q7.99% EarningsFeb 28 AMC Avg Volume14.37K Price30.20
SMA20-8.05% SMA50-3.11% SMA20025.30% Trades Volume5,563 Change-3.88%
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CompX International, Inc. engages in the manufacture of security products used in the recreational transportation, postal, office and institutional furniture, cabinetry, tool storage, healthcare, and a variety of other industries. It operates through the Security Products and Marine Components segments. The Security Products segment manufactures mechanical and electronic cabinet locks and other locking mechanisms used in a variety of applications including ignition systems, mailboxes, file cabinets, desk drawers, tool storage cabinets, vending and gaming machines, high security medical cabinetry, electronic circuit panels, storage compartments, and gas station security. The Marine Components segment manufactures and distributes stainless steel exhaust components, gauges, throttle controls, trim tabs, hardware, and accessories primarily for performance and ski and wakeboard boats. The company was founded in 1993 and is headquartered in Dallas, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MANIX ANNDirectorAug 08 '23Sale21.572,00043,1487,025Aug 09 03:59 PM
Kramer Kevin BDirectorMay 25 '23Buy18.362,17839,9996,790May 26 02:25 PM
NACE ANDREW BExecutive Vice PresidentMay 25 '23Buy18.541,00018,5422,807May 25 06:24 PM