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Last Close
Apr 13  •  04:00PM ET
5.06
Dollar change
+0.58
Percentage change
12.95
%
Apr 13, 7:35 AMASP Isotopes issues business update, setting 2031 EBITDA target above $300 million
Index
RUT
P/E
-
EPS (ttm)
-2.14
Insider Own
10.66%
Shs Outstand
125.11M
Perf Week
20.19%
Market Cap
633.05M
Forward P/E
-
EPS next Y
-1.05
Insider Trans
-4.04%
Shs Float
111.78M
Perf Month
-13.50%
Enterprise Value
574.45M
PEG
-
EPS next Q
-0.28
Inst Own
56.97%
Perf Quarter
-32.62%
Income
-175.09M
P/S
26.54
EPS this Y
49.61%
Inst Trans
6.76%
Perf Half Y
-42.82%
Sales
23.85M
P/B
2.77
EPS next Y
1.57%
ROA
-57.13%
Perf YTD
-5.42%
Book/sh
1.83
P/C
1.90
EPS next 5Y
25.43%
ROE
-138.93%
52W High
14.49 -65.08%
Perf Year
-15.53%
Cash/sh
2.66
P/FCF
-
EPS past 3/5Y
-148.35% -129.60%
ROIC
-43.08%
52W Low
3.92 29.08%
Perf 3Y
560.70%
Dividend Est.
-
EV/EBITDA
-
Sales past 3/5Y
- -
Gross Margin
7.80%
Volatility
9.20% 9.38%
Perf 5Y
-
Dividend TTM
-
EV/Sales
24.09
EPS Y/Y TTM
-232.47%
Oper. Margin
-239.80%
ATR (14)
0.47
Perf 10Y
-
Dividend Ex-Date
-
Quick Ratio
11.92
Sales Y/Y TTM
475.48%
Profit Margin
-734.17%
RSI (14)
53.94
Dividend Gr. 3/5Y
- -
Current Ratio
12.18
EPS Q/Q
-547.27%
SMA20
11.28%
Beta
3.54
Payout
-
Debt/Eq
1.06
Sales Q/Q
1295.41%
SMA50
-1.97%
Rel Volume
1.57
Prev Close
4.48
Employees
271
LT Debt/Eq
0.99
SMA200
-33.30%
Avg Volume
5.12M
Price
5.06
IPO
Nov 10, 2022
Option/Short
Yes / Yes
Trades
Volume
7,988,584
Change
12.95%
Date Action Analyst Rating Change Price Target Change
Dec-04-25Initiated Cantor Fitzgerald Overweight $13
Oct-04-24Initiated Canaccord Genuity Buy $4.50
Dec-05-23Initiated H.C. Wainwright Buy $3.25
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ASP Isotopes, Inc. is a pre-commercial stage advanced materials company, which engages in the development of technology and processes that will allow for the enrichment of natural isotopes into higher concentration products. Its products include medical, green energy, and Industrial isotopes. The company was founded by Paul E. Mann and Robert Ainscow on September 13, 2021 and is headquartered in Dallas, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Ainscow RobertCOOMar 06 '26Sale4.5125,000112,7751,512,817Apr 13 09:57 PM
Ainscow RobertOFFICERApr 13 '26Proposed Sale4.4825,000112,000Apr 13 09:56 PM
Ainscow RobertCOOMar 06 '26Sale5.448,43845,8941,537,817Mar 06 09:45 PM
Ainscow RobertOFFICERMar 06 '26Proposed Sale5.118,43843,118Mar 06 09:30 PM
Mann Paul ElliotDIRECTORMar 02 '26Proposed Sale5.34162,153865,897Mar 02 09:45 PM
Kiessling HeatherChief Financial OfficerDec 18 '25Sale5.8080,000463,840732,500Dec 29 09:30 PM
Heather KiesslingChief Financial OfficerDec 18 '25Proposed Sale5.7680,000460,800Dec 18 06:29 PM
Ainscow RobertInterim CEO and COODec 08 '25Sale6.208,43852,3411,546,255Dec 11 09:05 PM
Ainscow RobertOFFICERDec 08 '25Proposed Sale6.128,43851,641Dec 11 09:00 PM
Mann Paul ElliotExecutive ChairmanDec 01 '25Sale5.75162,153932,8667,759,538Dec 03 09:42 PM
Ainscow RobertInterim CEO and COONov 25 '25Sale5.7725,000144,2251,554,693Nov 28 09:46 PM
Mann Paul ElliotExecutive OfficerNov 17 '25Sale7.51112,500844,5387,971,691Nov 28 09:41 PM
Mann Paul ElliotExecutive OfficerNov 25 '25Sale5.7750,000288,4507,921,691Nov 28 09:41 PM
Mann Paul ElliotDIRECTORNov 15 '25Proposed Sale6.50112,500731,250Nov 25 09:30 PM
Ainscow RobertInterim CEO and COONov 17 '25Sale7.5167,500506,7221,579,693Nov 19 09:03 PM
Ainscow RobertOFFICERNov 17 '25Proposed Sale6.5067,500438,750Nov 17 09:49 PM
Ainscow RobertInterim CEO and COOOct 14 '25Sale13.6022,500305,9781,647,193Oct 16 09:16 PM
Ainscow RobertOFFICEROct 14 '25Proposed Sale13.3222,500299,700Oct 16 09:13 PM
Wider ToddDirectorSep 14 '25Option Exercise2.0096,000192,000806,230Oct 03 08:25 PM
Wider ToddDirectorSep 15 '25Sale8.7674,108648,823710,230Oct 03 08:25 PM
Gorley MichaelDirectorSep 30 '25Sale9.7564,000624,23781,360Oct 02 08:29 PM
Gorley MichaelDIRECTORSep 30 '25Proposed Sale10.3564,000662,400Sep 30 08:54 PM
Todd WiderDirectorSep 12 '25Proposed Sale8.7775,000657,750Sep 12 04:42 PM
Ainscow RobertChief Operating OfficerSep 09 '25Option Exercise1.12297,000331,5001,701,345Sep 10 09:01 PM
Ainscow RobertChief Operating OfficerSep 08 '25Sale8.538,43871,9451,411,554Sep 10 09:01 PM
Mann Paul ElliotChief Executive OfficerSep 09 '25Option Exercise2.001,216,0002,432,0008,399,734Sep 10 09:00 PM
Mann Paul ElliotChief Executive OfficerSep 08 '25Sale8.5381,076691,4087,234,378Sep 10 09:00 PM
Mann Paul ElliotChief Executive OfficerSep 09 '25Sale8.3981,077680,1238,084,191Sep 10 09:00 PM
Ainscow RobertOfficerSep 08 '25Proposed Sale8.208,43869,192Sep 08 09:07 PM
Mann Paul ElliotOfficerSep 08 '25Proposed Sale8.208,43869,192Sep 08 09:00 PM
Moore DuncanDirectorAug 29 '25Sale9.2875,000696,232994,553Sep 03 05:40 PM
Moore DuncanDirectorAug 29 '25Proposed Sale10.5375,000789,750Aug 29 06:46 PM
Ainscow RobertChief Operating OfficerApr 15 '25Sale5.7566,666383,5631,553,326Apr 17 07:57 PM
Ainscow RobertChief Operating OfficerApr 17 '25Sale5.6266,668374,7611,419,992Apr 17 07:57 PM
Ainscow RobertChief Operating OfficerApr 16 '25Sale5.4566,666363,0231,486,660Apr 17 07:57 PM
Mann Paul ElliotChief Executive OfficerApr 15 '25Sale5.75316,6671,821,9447,948,787Apr 17 07:57 PM
Mann Paul ElliotChief Executive OfficerApr 17 '25Sale5.62316,6661,780,0757,315,454Apr 17 07:57 PM
Mann Paul ElliotChief Executive OfficerApr 16 '25Sale5.45316,6671,724,3787,632,120Apr 17 07:57 PM
Ainscow RobertOfficerApr 15 '25Proposed Sale6.30200,0001,260,000Apr 15 08:49 AM
Mann Paul ElliotOfficerApr 15 '25Proposed Sale6.30950,0005,985,000Apr 15 08:47 AM
Last Close
Apr 13  •  04:00PM ET
2.12
Dollar change
-0.05
Percentage change
-2.30
%
ARQ Arq Inc daily Stock Chart
Index
RUT
P/E
-
EPS (ttm)
-1.26
Insider Own
20.56%
Shs Outstand
42.73M
Perf Week
-14.17%
Market Cap
90.84M
Forward P/E
-
EPS next Y
-0.12
Insider Trans
3.93%
Shs Float
34.04M
Perf Month
3.92%
Enterprise Value
121.66M
PEG
-
EPS next Q
-0.07
Inst Own
38.20%
Perf Quarter
-41.11%
Income
-52.61M
P/S
0.75
EPS this Y
94.88%
Inst Trans
-4.70%
Perf Half Y
-68.82%
Sales
120.34M
P/B
0.54
EPS next Y
-76.92%
ROA
-19.75%
Perf YTD
-35.17%
Book/sh
3.93
P/C
13.83
EPS next 5Y
82.62%
ROE
-27.31%
52W High
7.89 -73.13%
Perf Year
-40.62%
Cash/sh
0.15
P/FCF
-
EPS past 3/5Y
-37.90% -2.40%
ROIC
-28.83%
52W Low
1.54 37.66%
Perf 3Y
6.00%
Dividend Est.
-
EV/EBITDA
33.42
Sales past 3/5Y
5.33% 12.30%
Gross Margin
18.10%
Volatility
6.83% 8.12%
Perf 5Y
-59.54%
Dividend TTM
-
EV/Sales
1.01
EPS Y/Y TTM
-820.63%
Oper. Margin
-6.74%
ATR (14)
0.20
Perf 10Y
-66.88%
Dividend Ex-Date
-
Quick Ratio
0.66
Sales Y/Y TTM
10.44%
Profit Margin
-43.72%
RSI (14)
37.68
Dividend Gr. 3/5Y
- -
Current Ratio
1.04
EPS Q/Q
-3606.48%
SMA20
-6.42%
Beta
2.07
Payout
-
Debt/Eq
0.22
Sales Q/Q
8.84%
SMA50
-26.61%
Rel Volume
0.53
Prev Close
2.17
Employees
202
LT Debt/Eq
0.09
SMA200
-56.07%
Avg Volume
829.92K
Price
2.12
IPO
Oct 22, 2003
Option/Short
Yes / Yes
Trades
Volume
432,297
Change
-2.30%
Date Action Analyst Rating Change Price Target Change
Jul-15-25Initiated Craig Hallum Buy $10
Nov-19-24Initiated Canaccord Genuity Buy $10
Feb-06-17Initiated Rodman & Renshaw Buy $18
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Arq, Inc. is a holding company. It engages in the provision of environmental and emission control equipment to the power generation industry. The company operates through the following Segments: Refined Coal and Advanced Purification Technologies. The Refined Coal segment includes the Tinuum Group, Tinuum Services, and GWN Manager. The Advanced Purification Technologies segment refers to the sale of Activated Carbon Injection and Dry Sorbent Injection equipment systems, chemical sales, consulting services, and other sales related to the reduction of emissions in the coal-fired electric generation process and the electric utility industry. The company was founded in 1996 and is headquartered in Greenwood Village, CO.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Campbell-Breeden RichardDirectorMar 23 '26Buy2.21150,000331,665404,786Mar 24 04:30 PM
Wong Joseph MChief Technology OfficerMar 17 '26Buy1.8910,00018,900400,686Mar 19 04:30 PM
EICHER CAROL SDirectorMar 13 '26Buy1.9577,500151,009174,010Mar 17 04:30 PM
Smith Claiborne BensonGen Counsel, Corp SecretaryMar 12 '26Buy1.921,0001,918101,491Mar 16 05:32 PM
Smith Claiborne BensonGen Counsel, Corp SecretaryMar 16 '26Buy1.921,0001,918102,491Mar 16 05:32 PM
Voncannon Jay LoringChief Financial OfficerNov 10 '25Buy3.749,00033,66059,000Nov 13 08:30 AM
Voncannon Jay LoringChief Financial OfficerNov 11 '25Buy3.556,00021,31065,000Nov 13 08:30 AM
Campbell-Breeden RichardDirectorNov 11 '25Buy3.5428,638101,487254,786Nov 13 08:30 AM
Rasmus Robert E.Chief Executive OfficerNov 10 '25Buy3.7950,000189,59070,718Nov 12 08:30 AM
Wong Joseph MChief Technology OfficerAug 04 '25Sale5.203,05215,870367,738Aug 06 05:37 PM
Smith Claiborne BensonGen Counsel, Corp SecretaryAug 04 '25Sale5.202,59113,47382,438Aug 06 05:37 PM
Hansen StaciaChief Accounting OfficerAug 04 '25Sale5.202,74214,25873,199Aug 06 05:37 PM
Williamson JeremyChief Operating OfficerAug 04 '25Sale5.201,7829,266137,317Aug 06 05:37 PM
Rasmus Robert E.Chief Executive OfficerMay 23 '25Buy4.1025,000102,500480,782May 28 04:45 PM
Blank JeremyDirectorMay 23 '25Buy4.1050,000205,000374,955May 28 04:45 PM
Campbell-Breeden RichardDirectorMay 23 '25Buy4.1075,000307,500226,148May 27 04:45 PM
Wong Joseph MChief Technology OfficerMay 16 '25Buy4.6116,00073,760370,790May 20 04:30 PM
Rasmus Robert E.Chief Executive OfficerMay 14 '25Buy3.9312,53549,26320,718May 15 04:30 PM
Rasmus Robert E.Chief Executive OfficerMay 13 '25Buy4.002,92111,6848,183May 15 04:30 PM
Williamson JeremyChief Operating OfficerMay 12 '25Buy4.024001,608139,099May 14 04:30 PM
Rasmus Robert E.Chief Executive OfficerMay 12 '25Buy4.004,68018,7205,262May 13 04:30 PM
Rasmus Robert E.Chief Executive OfficerMay 09 '25Buy3.605822,095582May 13 04:30 PM
Last Close
Apr 13  •  04:00PM ET
15.71
Dollar change
-0.07
Percentage change
-0.44
%
FTK Flotek Industries Inc daily Stock Chart
Index
RUT
P/E
18.90
EPS (ttm)
0.83
Insider Own
53.43%
Shs Outstand
30.13M
Perf Week
2.01%
Market Cap
568.27M
Forward P/E
15.24
EPS next Y
1.03
Insider Trans
-0.38%
Shs Float
16.85M
Perf Month
-14.43%
Enterprise Value
612.59M
PEG
-
EPS next Q
0.13
Inst Own
31.24%
Perf Quarter
-11.79%
Income
30.53M
P/S
2.40
EPS this Y
-24.69%
Inst Trans
-0.44%
Perf Half Y
0.77%
Sales
237.26M
P/B
4.19
EPS next Y
51.68%
ROA
15.08%
Perf YTD
-8.82%
Book/sh
3.75
P/C
97.47
EPS next 5Y
-2.75%
ROE
26.90%
52W High
20.41 -23.03%
Perf Year
144.70%
Cash/sh
0.16
P/FCF
119.89
EPS past 3/5Y
- -
ROIC
19.26%
52W Low
6.20 153.39%
Perf 3Y
274.05%
Dividend Est.
-
EV/EBITDA
16.95
Sales past 3/5Y
20.36% 34.88%
Gross Margin
24.39%
Volatility
4.13% 6.17%
Perf 5Y
68.92%
Dividend TTM
-
EV/Sales
2.58
EPS Y/Y TTM
149.24%
Oper. Margin
11.79%
ATR (14)
0.96
Perf 10Y
-65.77%
Dividend Ex-Date
-
Quick Ratio
1.63
Sales Y/Y TTM
26.86%
Profit Margin
12.87%
RSI (14)
44.13
Dividend Gr. 3/5Y
- -
Current Ratio
1.80
EPS Q/Q
-43.93%
SMA20
-4.40%
Beta
1.46
Payout
0.00%
Debt/Eq
0.44
Sales Q/Q
33.02%
SMA50
-6.38%
Rel Volume
0.51
Prev Close
15.78
Employees
160
LT Debt/Eq
0.40
SMA200
3.30%
Avg Volume
282.57K
Price
15.71
IPO
Sep 10, 1996
Option/Short
Yes / Yes
Trades
Volume
149,999
Change
-0.44%
Date Action Analyst Rating Change Price Target Change
Jan-29-26Initiated Lake Street Buy $25
Aug-06-25Upgrade Northland Capital Market Perform → Outperform $16
Jun-17-25Initiated Northland Capital Market Perform $16
Jun-12-25Initiated Alliance Global Partners Buy $19
Jul-25-24Initiated ROTH MKM Buy $6.50
Apr-29-24Initiated Alliance Global Partners Buy $7
Jul-01-21Initiated Noble Capital Markets Outperform $2.50
Aug-08-18Downgrade Seaport Global Securities Buy → Neutral
Jan-20-16Upgrade Seaport Global Securities Accumulate → Speculative Buy $10 → $8
Jul-27-15Upgrade Oppenheimer Underperform → Perform $8 → $17
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Flotek Industries, Inc. engages in the business of creating unique solutions to reduce the environmental impact of energy on air, water, land, and people. It operates through the following segments: Chemistry Technologies (CT), Data Analytics (DA), and Corporate and Other. The CT segment includes developing, manufacturing, packaging, distributing, delivering, and marketing green specialty chemicals that help customers meet their environmental, social, and governance and operational goals and aims to enhance the profitability of hydrocarbon producers. The DA segment focuses on enabling users to maximize the value of their hydrocarbon associated processes by providing real-time data and analytics associated with the streams in seconds rather than minutes or days. The company was founded on May 17, 1985 and is headquartered in Houston, TX.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
CLEMENT JAMES BONDChief Financial OfficerFeb 24 '26Sale16.026,299100,910122,837Feb 26 05:30 PM
Agadi Harshavardhan VDirectorNov 13 '25Sale14.7166,956984,648197,265Nov 14 04:31 PM
Agadi Harshavardhan VDirectorNov 13 '25Proposed Sale15.0966,9561,010,366Nov 13 11:23 AM
Ezell Ryan GillisChief Executive OfficerAug 14 '25Option Exercise4.7787,187416,254244,042Aug 15 12:19 PM
Ezell Ryan GillisChief Executive OfficerAug 14 '25Sale12.2687,1871,068,913156,855Aug 15 12:19 PM
CLEMENT JAMES BONDChief Financial OfficerAug 13 '25Option Exercise3.2845,732150,001141,171Aug 14 05:09 PM
CLEMENT JAMES BONDChief Financial OfficerAug 13 '25Sale12.7445,732582,62695,439Aug 14 05:09 PM
James B ClementChief Financial OfficerAug 13 '25Proposed Sale12.7445,732582,604Aug 14 03:26 PM
Ryan EzellChief Executive OfficerAug 14 '25Proposed Sale12.6387,1871,101,172Aug 14 03:23 PM
Wilks MatthewDirectorMay 14 '25Buy14.1513,040184,509157,390May 16 04:48 PM
Wilks MatthewDirectorMay 15 '25Buy14.994026,026157,792May 16 04:48 PM
Wilks MatthewDirectorMay 12 '25Buy12.24103,5141,266,784144,350May 13 06:12 PM
Wilks MatthewDirectorMay 09 '25Buy11.7132,810384,12772,006May 13 06:12 PM
Last Close
Apr 13  •  04:00PM ET
38.00
Dollar change
+0.41
Percentage change
1.09
%
ESI Element Solutions Inc daily Stock Chart
Index
-
P/E
48.31
EPS (ttm)
0.79
Insider Own
6.83%
Shs Outstand
242.70M
Perf Week
11.96%
Market Cap
9.26B
Forward P/E
19.04
EPS next Y
2.00
Insider Trans
-4.57%
Shs Float
226.95M
Perf Month
26.29%
Enterprise Value
10.36B
PEG
1.30
EPS next Q
0.38
Inst Own
101.50%
Perf Quarter
35.47%
Income
190.80M
P/S
3.63
EPS this Y
17.14%
Inst Trans
1.86%
Perf Half Y
47.23%
Sales
2.55B
P/B
3.45
EPS next Y
14.38%
ROA
3.83%
Perf YTD
52.06%
Book/sh
11.02
P/C
14.77
EPS next 5Y
14.62%
ROE
7.55%
52W High
38.05 -0.13%
Perf Year
108.22%
Cash/sh
2.57
P/FCF
40.67
EPS past 3/5Y
1.43% 21.04%
ROIC
4.37%
52W Low
17.23 120.55%
Perf 3Y
103.97%
EV/EBITDA
19.40
Sales past 3/5Y
0.02% 6.60%
Gross Margin
41.96%
Volatility
2.85% 3.80%
Perf 5Y
99.27%
EV/Sales
4.06
EPS Y/Y TTM
-21.89%
Oper. Margin
15.00%
ATR (14)
1.51
Perf 10Y
328.41%
Quick Ratio
3.00
Sales Y/Y TTM
3.84%
Profit Margin
7.48%
RSI (14)
67.34
Current Ratio
3.68
EPS Q/Q
-88.82%
SMA20
11.61%
Beta
1.20
Debt/Eq
0.64
Sales Q/Q
8.33%
SMA50
14.62%
Rel Volume
0.82
Prev Close
37.59
Employees
5200
LT Debt/Eq
0.63
SMA200
37.58%
Avg Volume
2.88M
Price
38.00
IPO
Oct 22, 2013
Option/Short
Yes / Yes
Trades
Volume
2,331,566
Change
1.09%
Date Action Analyst Rating Change Price Target Change
Apr-15-25Upgrade BofA Securities Neutral → Buy $24
Apr-14-25Upgrade Truist Hold → Buy $24
Apr-03-25Initiated KeyBanc Capital Markets Overweight $29
Jan-28-25Initiated Truist Hold $28
Jan-14-25Downgrade BofA Securities Buy → Neutral $32 → $28
Oct-25-24Upgrade Wolfe Research Peer Perform → Outperform
Oct-14-24Initiated Seaport Research Partners Buy $33
Mar-01-24Initiated Wolfe Research Peer Perform
Jun-20-23Initiated BMO Capital Markets Outperform $23
Oct-13-22Initiated Goldman Neutral $20
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Element Solutions, Inc. is a specialty chemicals company, which engages in providing technology, chemical products, and technical services. It operates through the Electronics and Specialty segments. The Electronics segment focuses on researching, formulating, and sale of specialty chemicals and material process technologies for all types of electronics hardware, from printed circuit board designs to semiconductor packaging. The Specialty segment is involved in the researching, formulating, and sale of specialty chemicals and material process technologies that enhance surfaces and improve industrial processes in diverse industrial sectors from automotive trim to transcontinental infrastructure and from high-speed printing to high-design faucets. The company was founded by Martin Ellis Franklin on April 23, 2013 and is headquartered in Miami Beach, FL.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Benjamin GliklichOfficerFeb 24 '26Proposed Sale36.17180,0006,510,600Feb 24 04:25 PM
Gliklich BenjaminCEOFeb 24 '26Sale37.30170,0006,341,0001,191,078Feb 24 04:24 PM
Dorman Carey J.Pdt Enterprise Ops and CFOFeb 23 '26Sale34.8797,5003,399,825237,077Feb 24 04:23 PM
ONEAL E STANLEYDirectorFeb 20 '26Sale35.52143,5645,099,393147,832Feb 24 04:22 PM
ONEAL E STANLEYDirectorFeb 20 '26Sale35.5257,0772,027,3750Feb 24 04:22 PM
Carey J. DormanOfficerFeb 23 '26Proposed Sale35.4497,5003,455,400Feb 23 04:53 PM
ONEAL E STANLEYDirectorFeb 20 '26Proposed Sale35.52200,6417,126,608Feb 20 04:16 PM
Liebowitz MatthewOfficerFeb 11 '26Proposed Sale31.9714,845474,557Feb 11 04:23 PM
Gliklich BenjaminOfficerFeb 11 '26Proposed Sale31.9782,8862,649,558Feb 11 04:23 PM
Fricke Richard L.OfficerFeb 11 '26Proposed Sale31.9910,023320,669Feb 11 04:22 PM
Dorman Carey J.OfficerFeb 11 '26Proposed Sale31.9733,4521,069,364Feb 11 04:21 PM
Capps John EdwardOfficerFeb 11 '26Proposed Sale31.9713,680437,333Feb 11 04:20 PM
Liebowitz MatthewPresident, SpecialtiesDec 12 '25Sale26.6037,000984,200117,393Dec 12 04:25 PM
Liebowitz MatthewOfficerDec 12 '25Proposed Sale26.6037,000984,261Dec 12 04:20 PM
ASHKEN IAN G HDirectorNov 05 '25Sale27.00292,0007,884,000306,880Nov 07 04:15 PM
Ian G. H. AshkenDirectorNov 05 '25Proposed Sale27.03292,0007,892,760Nov 05 05:22 PM
Liebowitz MatthewEVP, Strategy and Head of I&SSep 17 '25Sale26.5550,0001,327,50057,353Sep 19 04:23 PM
Capps John EdwardEVP, General Counsel & Sec.Sep 18 '25Option Exercise11.60120,1751,394,310687,464Sep 19 04:22 PM
Capps John EdwardEVP, General Counsel & Sec.Sep 18 '25Sale26.7777,6742,079,333609,790Sep 19 04:22 PM
Gliklich BenjaminPresident and CEOSep 18 '25Option Exercise11.56181,1232,094,351982,158Sep 19 04:22 PM
Gliklich BenjaminPresident and CEOSep 18 '25Sale26.56117,6373,124,439864,521Sep 19 04:22 PM
Dorman Carey J.EVP, CFOSep 18 '25Option Exercise11.5860,704702,686255,562Sep 19 04:22 PM
Dorman Carey J.EVP, CFOSep 18 '25Sale26.6640,7251,085,728214,837Sep 19 04:22 PM
Gliklich BenjaminOfficerSep 18 '25Proposed Sale26.56117,6373,124,530Sep 18 04:06 PM
Dorman Carey J.OfficerSep 18 '25Proposed Sale26.6740,7251,086,000Sep 18 04:04 PM
Capps John EdwardOfficerSep 18 '25Proposed Sale26.7877,6742,079,931Sep 18 04:03 PM
Liebowitz MatthewOfficerSep 17 '25Proposed Sale26.5550,0001,327,733Sep 17 05:07 PM
FSI Flexible Solutions International Inc daily Stock Chart
Index
-
P/E
36.24
EPS (ttm)
0.15
Insider Own
36.44%
Shs Outstand
12.69M
Perf Week
-3.12%
Market Cap
67.13M
Forward P/E
5.99
EPS next Y
0.88
Insider Trans
-2.48%
Shs Float
8.10M
Perf Month
-7.54%
Enterprise Value
68.92M
PEG
-
EPS next Q
0.07
Inst Own
21.34%
Perf Quarter
-21.58%
Income
1.93M
P/S
1.74
EPS this Y
409.09%
Inst Trans
7.04%
Perf Half Y
-40.79%
Sales
38.56M
P/B
1.72
EPS next Y
57.14%
ROA
3.32%
Perf YTD
-21.64%
Book/sh
3.07
P/C
6.80
EPS next 5Y
-
ROE
5.08%
52W High
11.48 -54.09%
Perf Year
40.80%
Cash/sh
0.77
P/FCF
-
EPS past 3/5Y
-4.58% 8.66%
ROIC
4.47%
52W Low
3.45 52.76%
Perf 3Y
72.01%
EV/EBITDA
10.97
Sales past 3/5Y
3.57% 6.86%
Gross Margin
23.15%
Volatility
2.84% 4.02%
Perf 5Y
62.64%
EV/Sales
1.79
EPS Y/Y TTM
-54.25%
Oper. Margin
11.20%
ATR (14)
0.21
Perf 10Y
477.93%
Quick Ratio
2.11
Sales Y/Y TTM
0.18%
Profit Margin
5.00%
RSI (14)
43.28
Current Ratio
2.96
EPS Q/Q
-182.57%
SMA20
-2.44%
Beta
1.68
Debt/Eq
0.20
Sales Q/Q
13.33%
SMA50
-4.06%
Rel Volume
0.14
Prev Close
5.41
Employees
-
LT Debt/Eq
0.11
SMA200
-24.65%
Avg Volume
28.20K
Price
5.27
IPO
Oct 14, 1999
Option/Short
No / Yes
Trades
Volume
4,277
Change
-2.59%
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Flexible Solutions International, Inc. is an environmental technology company, which engages in the research, development, and manufacture of products that save water and energy. It operates through the Energy and Water Conservation Products (EWCP) and Biodegradable Polymers (BCPA) segments. The EWPC segment consists of a liquid swimming pool blanket which saves energy and water by inhibiting evaporation from the pool surface, and a food-safe powdered form of the active ingredient within the liquid blanket. The BCPA segment offers products used by the petroleum, chemical, utility, and mining industries to prevent corrosion and scaling in water piping. The company was founded by Robert N. O'Brien in 1989 and is headquartered in Taber, Canada.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
O BRIEN DANIEL BChief Executive OfficerFeb 03 '26Sale5.8812,50073,5004,599,153Feb 05 02:34 PM
O BRIEN DANIEL BChief Executive OfficerJan 29 '26Sale5.894,00323,5784,611,653Feb 02 11:41 AM
O BRIEN DANIEL BChief Executive OfficerJan 27 '26Sale5.9056,000330,4004,664,156Jan 29 05:16 PM
O BRIEN DANIEL BChief Executive OfficerJan 28 '26Sale5.8445,500265,7204,615,656Jan 29 05:16 PM
Daniel B. O'BrienOfficer/DirectorJan 27 '26Proposed Sale5.98125,000747,500Jan 27 05:11 PM
Last Close
Apr 13  •  04:00PM ET
207.04
Dollar change
-6.97
Percentage change
-3.26
%
WDFC WD-40 Co daily Stock Chart
Index
RUT
P/E
35.15
EPS (ttm)
5.89
Insider Own
0.50%
Shs Outstand
13.47M
Perf Week
-1.66%
Market Cap
2.79B
Forward P/E
32.50
EPS next Y
6.37
Insider Trans
4.77%
Shs Float
13.39M
Perf Month
-8.29%
Enterprise Value
2.85B
PEG
13.11
EPS next Q
1.57
Inst Own
86.24%
Perf Quarter
8.97%
Income
79.77M
P/S
4.38
EPS this Y
-10.46%
Inst Trans
-0.88%
Perf Half Y
7.43%
Sales
636.48M
P/B
10.37
EPS next Y
6.34%
ROA
17.12%
Perf YTD
5.15%
Book/sh
19.97
P/C
55.33
EPS next 5Y
2.48%
ROE
31.22%
52W High
253.24 -18.24%
Perf Year
-6.75%
Cash/sh
3.74
P/FCF
33.12
EPS past 3/5Y
10.94% 8.72%
ROIC
22.01%
52W Low
175.38 18.05%
Perf 3Y
15.42%
EV/EBITDA
24.67
Sales past 3/5Y
6.12% 8.70%
Gross Margin
54.76%
Volatility
4.11% 3.66%
Perf 5Y
-19.38%
EV/Sales
4.47
EPS Y/Y TTM
-6.09%
Oper. Margin
16.49%
ATR (14)
7.99
Perf 10Y
104.24%
Quick Ratio
1.98
Sales Y/Y TTM
4.23%
Profit Margin
12.53%
RSI (14)
40.03
Current Ratio
2.83
EPS Q/Q
-31.60%
SMA20
-2.77%
Beta
0.32
Debt/Eq
0.41
Sales Q/Q
10.65%
SMA50
-9.22%
Rel Volume
2.16
Prev Close
214.01
Employees
714
LT Debt/Eq
0.35
SMA200
-2.54%
Avg Volume
172.81K
Price
207.04
IPO
May 03, 1973
Option/Short
Yes / Yes
Trades
Volume
377,134
Change
-3.26%
Date Action Analyst Rating Change Price Target Change
Apr-06-26Initiated William Blair Outperform
Jul-18-22Upgrade DA Davidson Neutral → Buy $205
Jul-14-22Initiated BWS Financial Sell $88
Apr-08-22Upgrade DA Davidson Underperform → Neutral
Apr-04-22Downgrade DA Davidson Neutral → Underperform $157
Feb-19-21Downgrade DA Davidson Buy → Neutral $353
Mar-27-20Upgrade DA Davidson Neutral → Buy $220
Jan-07-20Downgrade DA Davidson Buy → Neutral
Apr-06-18Reiterated B. Riley FBR, Inc. Neutral $125 → $135
Oct-20-17Reiterated FBR & Co. Neutral $115 → $122
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May-06-25 12:33AM
Apr-29-25 01:04PM
Apr-26-25 05:46PM
01:53AM
Apr-21-25 05:59PM
WD-40 Co. is a global marketing organization, which engages in the development and sale of products for workshops, factories, and homes. Its brands include WD-40 Multi-Use Product, WD-40 Specialist, 3-IN-ONE, GT85, X-14, 2000 Flushes, Carpet Fresh, no vac, Spot Shot, 1001, Lava and Solvol. The firm operates through the following geographical segments: Americas, Europe, Middle East, and Africa (EMEA), and Asia-Pacific. The company was founded by Norman Bernard Larsen, Sam Crivello, Gordon Dawson, and John B. Gregory on September 23, 1953 and is headquartered in San Diego, CA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
PENDARVIS DAVIDDirectorFeb 05 '26Buy247.15424104,7926,898Feb 06 06:11 PM
Etchart EricDirectorOct 30 '25Buy194.0250097,0108,370Oct 30 07:11 PM
PENDARVIS DAVIDDirectorOct 30 '25Buy196.37523102,7025,862Oct 30 04:55 PM
KIAMILEV PHENIX Q.VP, GC & Chief Compliance OfcrOct 28 '25Buy200.465511,0254,303Oct 29 08:40 PM
Brass Steven APresident and CEOOct 28 '25Buy200.4636272,56733,761Oct 29 08:38 PM
HYZER SARA KATHLEENVP, Finance & CFOOct 28 '25Buy200.4620040,0925,935Oct 29 08:28 PM
CARTER DANIEL TDirectorOct 27 '25Buy199.371,000199,3707,205Oct 27 05:21 PM
Last Close
Apr 13  •  04:00PM ET
74.52
Dollar change
-0.10
Percentage change
-0.13
%
CBT Cabot Corp daily Stock Chart
Index
RUT
P/E
13.08
EPS (ttm)
5.70
Insider Own
1.74%
Shs Outstand
52.22M
Perf Week
0.16%
Market Cap
3.89B
Forward P/E
10.86
EPS next Y
6.86
Insider Trans
0.00%
Shs Float
51.31M
Perf Month
8.17%
Enterprise Value
4.94B
PEG
8.29
EPS next Q
1.46
Inst Own
98.21%
Perf Quarter
2.32%
Income
306.00M
P/S
1.08
EPS this Y
-14.05%
Inst Trans
1.16%
Perf Half Y
4.60%
Sales
3.61B
P/B
2.47
EPS next Y
10.11%
ROA
8.30%
Perf YTD
12.43%
Book/sh
30.16
P/C
16.92
EPS next 5Y
1.31%
ROE
20.88%
52W High
83.71 -10.98%
Perf Year
-6.23%
Cash/sh
4.40
P/FCF
9.09
EPS past 3/5Y
18.44% -
ROIC
12.60%
52W Low
58.33 27.76%
Perf 3Y
-2.52%
EV/EBITDA
6.50
Sales past 3/5Y
-4.93% 7.27%
Gross Margin
25.56%
Volatility
2.33% 2.71%
Perf 5Y
40.84%
EV/Sales
1.37
EPS Y/Y TTM
-24.79%
Oper. Margin
16.69%
ATR (14)
2.07
Perf 10Y
54.22%
Quick Ratio
1.09
Sales Y/Y TTM
-9.62%
Profit Margin
8.48%
RSI (14)
55.00
Current Ratio
1.67
EPS Q/Q
-18.63%
SMA20
2.55%
Beta
0.81
Debt/Eq
0.71
Sales Q/Q
-11.10%
SMA50
1.49%
Rel Volume
0.67
Prev Close
74.62
Employees
4064
LT Debt/Eq
0.54
SMA200
2.72%
Avg Volume
468.49K
Price
74.52
IPO
Aug 23, 1968
Option/Short
Yes / Yes
Trades
Volume
312,869
Change
-0.13%
Date Action Analyst Rating Change Price Target Change
Feb-05-26Downgrade Mizuho Outperform → Neutral $75
Nov-11-24Downgrade JP Morgan Neutral → Underweight $105
Apr-18-24Downgrade Deutsche Bank Buy → Hold
Mar-27-24Initiated Mizuho Buy $104
Jan-08-24Downgrade UBS Buy → Neutral $90 → $87
Jun-06-23Downgrade JP Morgan Overweight → Neutral $87 → $80
Mar-13-23Initiated Credit Suisse Outperform $94
Nov-16-22Upgrade Deutsche Bank Hold → Buy $80 → $90
Jul-23-21Upgrade JP Morgan Neutral → Overweight $62
Jul-01-21Upgrade Loop Capital Hold → Buy $78
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Cabot Corp. is a global specialty chemicals and performance materials company. The firm's products include reinforcing and specialty carbons, specialty compounds, conductive additives, carbon nanotubes, fumed metal oxides, inkjet colorants, and aerogel. It operates through the Reinforcement Materials and Performance Chemicals segments. The Reinforcement Materials segment involves the rubber blacks and elastomer composites product lines. The Performance Chemicals segment refers to specialty carbons, specialty compounds, fumed metal oxides, battery materials, inkjet colorants, and aerogel product lines. The company was founded by Godfrey Lowell Cabot in 1882 and is headquartered in Boston, MA.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Keohane Sean DPresident and CEOAug 14 '25Option Exercise50.18114,4365,742,695449,499Aug 15 05:00 PM
Keohane Sean DPresident and CEOAug 14 '25Sale79.28114,4369,072,094361,518Aug 15 05:00 PM
Keohane Sean DOfficerAug 14 '25Proposed Sale79.28114,4369,072,097Aug 14 05:43 PM
Last Close
Apr 13  •  04:00PM ET
7.02
Dollar change
+0.29
Percentage change
4.31
%
OEC Orion S.A daily Stock Chart
Index
RUT
P/E
-
EPS (ttm)
-1.25
Insider Own
3.49%
Shs Outstand
56.15M
Perf Week
10.90%
Market Cap
395.04M
Forward P/E
16.06
EPS next Y
0.44
Insider Trans
0.00%
Shs Float
54.31M
Perf Month
45.04%
Enterprise Value
1.45B
PEG
1.38
EPS next Q
0.07
Inst Own
92.09%
Perf Quarter
15.46%
Income
-70.10M
P/S
0.22
EPS this Y
-54.90%
Inst Trans
-1.39%
Perf Half Y
2.03%
Sales
1.81B
P/B
1.02
EPS next Y
93.83%
ROA
-3.72%
Perf YTD
32.95%
Book/sh
6.85
P/C
6.51
EPS next 5Y
11.67%
ROE
-16.31%
52W High
12.84 -45.33%
Perf Year
-39.95%
Cash/sh
1.08
P/FCF
7.63
EPS past 3/5Y
- -
ROIC
-5.96%
52W Low
4.34 61.57%
Perf 3Y
-73.55%
EV/EBITDA
6.19
Sales past 3/5Y
-3.82% 9.72%
Gross Margin
19.91%
Volatility
5.37% 6.19%
Perf 5Y
-62.28%
EV/Sales
0.80
EPS Y/Y TTM
-265.53%
Oper. Margin
5.62%
ATR (14)
0.36
Perf 10Y
-49.71%
Quick Ratio
0.59
Sales Y/Y TTM
-3.77%
Profit Margin
-3.88%
RSI (14)
70.09
Current Ratio
1.03
EPS Q/Q
-226.48%
SMA20
18.38%
Beta
0.94
Debt/Eq
2.89
Sales Q/Q
-5.18%
SMA50
17.83%
Rel Volume
0.52
Prev Close
6.73
Employees
1639
LT Debt/Eq
2.06
SMA200
-2.45%
Avg Volume
751.46K
Price
7.02
IPO
Jul 25, 2014
Option/Short
Yes / Yes
Trades
Volume
395,133
Change
4.31%
Date Action Analyst Rating Change Price Target Change
Oct-17-25Downgrade UBS Buy → Neutral $7
Sep-12-25Downgrade Mizuho Neutral → Underperform $9
Aug-11-25Downgrade JP Morgan Neutral → Underweight $9
Apr-24-25Downgrade JP Morgan Overweight → Neutral $12
Nov-11-24Upgrade JP Morgan Neutral → Overweight $20 → $21
Mar-27-24Initiated Mizuho Neutral $25
Apr-14-23Downgrade JP Morgan Overweight → Neutral $26
Mar-13-23Initiated Credit Suisse Outperform $31
Jun-18-21Upgrade JP Morgan Neutral → Overweight $23
Oct-27-20Upgrade Loop Capital Hold → Buy $14.50 → $20
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Orion SA engages in the production and supply of carbon black. It operates through the Specialty Carbon Black and Rubber Carbon Black segments. The Specialty Carbon Black segment manufactures specialty carbon black at multiple sites for a broad range of specialized applications. The Rubber Carbon Black segment is used in the reinforcement of rubber in tires and mechanical rubber goods. Specialties are used as pigments and performance additives in coatings, polymers, printing and special applications. The company was founded on April 13, 2011 and is headquartered in Senningerberg, Luxembourg.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Painter Corning F.Chief Executive OfficerMay 13 '25Buy11.0820,000221,6321,084,375May 13 07:00 PM