Index RUT
P/E 6.96
EPS (ttm) 3.13
Insider Own 91.52%
Shs Outstand 28.29M
Perf Week -9.11%
Market Cap 615.97M
Forward P/E 6.72
EPS next Y 3.24
Insider Trans 0.00%
Shs Float 2.40M
Perf Month -17.95%
Income 89.10M
PEG -
EPS next Q 0.60
Inst Own 4.38%
Short Float 2.78%
Perf Quarter -24.21%
Sales 2.08B
P/S 0.30
EPS this Y 688.81%
Inst Trans 13.75%
Short Ratio 2.16
Perf Half Y 17.94%
Book/sh 36.14
P/B 0.60
EPS next Y 30.89%
ROA 3.30%
Short Interest 0.07M
Perf Year 45.26%
Cash/sh 12.77
P/C 1.70
EPS next 5Y -
ROE 9.12%
52W Range 12.12 - 41.75
Perf YTD 43.25%
Dividend Est. -
P/FCF 15.75
EPS past 5Y -
ROI 5.69%
52W High -47.88%
Beta 1.24
Dividend TTM 0.32 (1.47%)
Quick Ratio 1.65
Sales past 5Y 1.83%
Gross Margin 18.73%
52W Low 79.54%
ATR (14) 1.58
Dividend Ex-Date Nov 29, 2024
Current Ratio 2.79
EPS Y/Y TTM 450.80%
Oper. Margin 5.05%
RSI (14) 29.07
Volatility 6.02% 5.35%
Employees 2196
Debt/Eq 0.62
Sales Y/Y TTM 10.99%
Profit Margin 4.29%
Recom 5.00
Target Price 20.00
Option/Short No / Yes
LT Debt/Eq 0.53
EPS Q/Q 1058.43%
Payout -
Rel Volume 0.83
Prev Close 21.75
Sales Surprise -
EPS Surprise 101.60%
Sales Q/Q 13.80%
Earnings Nov 07 AMC
Avg Volume 30.89K
Price 21.76
SMA20 -11.64%
SMA50 -27.39%
SMA200 -4.89%
Trades
Volume 25,645
Change 0.05%
Date
Action
Analyst
Rating Change
Price Target Change
Aug-28-15 Reiterated
Barclays
Underweight
$6 → $4
Aug-19-14 Reiterated
Barclays
Underweight
$5 → $6
Feb-03-14 Initiated
Barclays
Underweight
$5
May-17-07 Downgrade
Matrix Research
Hold → Sell
Apr-12-07 Upgrade
Matrix Research
Sell → Hold
Nov-07-24 06:27PM
(Associated Press Finance) -5.27%
+6.86%
04:15PM
04:15PM
Oct-11-24 12:20PM
Aug-08-24 05:04PM
(Associated Press Finance)
+12.36%
04:18PM
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May-09-24 04:28PM
(Associated Press Finance) +5.56%
04:18PM
Mar-07-24 10:52PM
(InvestorPlace) +7.13%
+6.37%
05:07PM
(Associated Press Finance)
04:15PM
Feb-29-24 04:15PM
Nov-06-23 06:12PM
(Associated Press Finance)
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(Associated Press Finance)
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04:17PM
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04:15PM
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(AP Finance) -6.32%
-8.68%
04:15PM
05:04AM
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04:15PM
Aug-26-20 04:18PM
(Newsfile) +18.33%
+5.93%
10:44AM
Aug-06-20 04:20PM
04:15PM
Jun-08-20 01:37AM
Jun-05-20 03:15PM
May-28-20 04:15PM
10:58AM
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Apr-13-20 02:49PM
(Simply Wall St.) -10.18%
Mar-12-20 04:15PM
Feb-27-20 04:15PM
(GlobeNewswire) -5.88%
+8.59%
Feb-26-20 10:40AM
Jan-21-20 08:50AM
Dec-20-19 02:58PM
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.
Index RUT
P/E 6.67
EPS (ttm) 1.19
Insider Own 82.95%
Shs Outstand 48.85M
Perf Week -3.86%
Market Cap 391.78M
Forward P/E 9.22
EPS next Y 0.86
Insider Trans 0.00%
Shs Float 8.33M
Perf Month 0.38%
Income 58.27M
PEG -
EPS next Q 0.21
Inst Own 11.03%
Short Float 0.87%
Perf Quarter 15.36%
Sales 150.69M
P/S 2.60
EPS this Y 1584.00%
Inst Trans 1.95%
Short Ratio 2.41
Perf Half Y 46.96%
Book/sh 7.90
P/B 1.01
EPS next Y 16.31%
ROA 10.08%
Short Interest 0.07M
Perf Year 56.45%
Cash/sh 3.57
P/C 2.23
EPS next 5Y -
ROE 15.53%
52W Range 4.69 - 9.42
Perf YTD 51.15%
Dividend Est. -
P/FCF 10.77
EPS past 5Y 43.77%
ROI 15.07%
52W High -15.50%
Beta 0.52
Dividend TTM 0.32 (4.02%)
Quick Ratio 5.89
Sales past 5Y 7.07%
Gross Margin 28.75%
52W Low 69.59%
ATR (14) 0.50
Dividend Ex-Date Nov 29, 2024
Current Ratio 6.72
EPS Y/Y TTM 465.09%
Oper. Margin 7.44%
RSI (14) 48.64
Volatility 7.54% 6.09%
Employees 2751
Debt/Eq 0.00
Sales Y/Y TTM -4.68%
Profit Margin 38.67%
Recom 5.00
Target Price 6.00
Option/Short Yes / Yes
LT Debt/Eq 0.00
EPS Q/Q 52757.14%
Payout -
Rel Volume 1.33
Prev Close 7.90
Sales Surprise -
EPS Surprise 223.14%
Sales Q/Q -16.57%
Earnings Nov 06 AMC
Avg Volume 29.93K
Price 7.96
SMA20 -1.66%
SMA50 -0.31%
SMA200 14.18%
Trades
Volume 39,764
Change 0.76%
Date
Action
Analyst
Rating Change
Price Target Change
May-25-21 Downgrade
Barclays
Equal Weight → Underweight
$16 → $7
Nov-15-17 Reiterated
Barclays
Underweight
$7 → $14
Apr-07-17 Reiterated
Barclays
Underweight
$3 → $6
Aug-28-15 Reiterated
Barclays
Underweight
$8 → $5
Mar-17-15 Reiterated
Barclays
Underweight
$9 → $8
May-29-14 Reiterated
Barclays
Underweight
$10 → $9
Feb-03-14 Initiated
Barclays
Underweight
$10
Nov-06-24 06:09PM
(Associated Press Finance) +8.46%
-8.50%
04:22PM
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(Associated Press Finance)
+10.48%
04:20PM
04:18PM
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05:34PM
(Associated Press Finance)
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04:46PM
(Associated Press Finance)
04:25PM
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06:22PM
(Associated Press Finance)
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10:00AM
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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.
Index RUT
P/E 11.99
EPS (ttm) 0.82
Insider Own 81.27%
Shs Outstand 115.04M
Perf Week -4.48%
Market Cap 1.14B
Forward P/E 12.01
EPS next Y 0.82
Insider Trans 0.00%
Shs Float 21.54M
Perf Month -13.57%
Income 94.10M
PEG -
EPS next Q 0.12
Inst Own 15.46%
Short Float 2.82%
Perf Quarter -14.32%
Sales 1.86B
P/S 0.61
EPS this Y 234.53%
Inst Trans 6.50%
Short Ratio 3.57
Perf Half Y -25.17%
Book/sh 7.37
P/B 1.33
EPS next Y 41.23%
ROA 5.17%
Short Interest 0.61M
Perf Year 0.41%
Cash/sh 0.85
P/C 11.60
EPS next 5Y -9.48%
ROE 11.20%
52W Range 8.26 - 14.50
Perf YTD -1.31%
Dividend Est. 0.48 (4.90%)
P/FCF 20.39
EPS past 5Y -
ROI 7.04%
52W High -32.34%
Beta 1.14
Dividend TTM 0.48 (4.89%)
Quick Ratio 1.30
Sales past 5Y 0.61%
Gross Margin 18.70%
52W Low 18.77%
ATR (14) 0.33
Dividend Ex-Date Nov 29, 2024
Current Ratio 2.68
EPS Y/Y TTM 248.00%
Oper. Margin 5.73%
RSI (14) 25.76
Volatility 3.17% 2.99%
Employees 2196
Debt/Eq 0.68
Sales Y/Y TTM 15.87%
Profit Margin 5.05%
Recom 3.00
Target Price 12.50
Option/Short Yes / Yes
LT Debt/Eq 0.58
EPS Q/Q 451.97%
Payout -
Rel Volume 1.67
Prev Close 9.75
Sales Surprise -14.90%
EPS Surprise 149.30%
Sales Q/Q 22.12%
Earnings Nov 06 AMC
Avg Volume 170.03K
Price 9.81
SMA20 -6.96%
SMA50 -13.09%
SMA200 -17.16%
Trades
Volume 284,273
Change 0.62%
Date
Action
Analyst
Rating Change
Price Target Change
Oct-13-22 Initiated
Goldman
Sell
$9
Mar-28-17 Downgrade
Standpoint Research
Buy → Hold
Mar-14-17 Reiterated
Barclays
Underweight
$7 → $12
Aug-28-15 Reiterated
Barclays
Underweight
$11 → $8
Aug-18-15 Reiterated
Deutsche Bank
Hold
$13 → $8
Feb-03-14 Initiated
Barclays
Underweight
$12
May-10-13 Reiterated
Deutsche Bank
Hold
$18 → $16
Mar-13-13 Reiterated
Argus
Hold
$14 → $18
Jan-03-13 Downgrade
Oppenheimer
Outperform → Perform
Mar-02-12 Initiated
Standpoint Research
Buy
$32
Feb-22-12 Downgrade
Deutsche Bank
Buy → Hold
$24 → $23
May-05-11 Reiterated
Deutsche Bank
Buy
$60 → $75
Mar-08-11 Reiterated
Deutsche Bank
Buy
$50 → $60
Feb-11-11 Reiterated
Oppenheimer
Outperform
$52 → $57
Dec-03-10 Reiterated
UBS
Buy
$27 → $25
Dec-02-10 Initiated
Deutsche Bank
Buy
$50
Nov-30-10 Initiated
BB&T Capital Mkts
Hold
Nov-08-10 Initiated
Deutsche Bank
Buy
$50
Show Previous Ratings
Dec-13-24 12:43PM
Nov-06-24 07:05PM
06:02PM
(Associated Press Finance)
04:15PM
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11:31AM
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07:18PM
(Associated Press Finance)
04:15PM
Aug-06-24 09:35AM
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(Associated Press Finance)
04:15PM
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(Associated Press Finance)
04:15PM
Feb-21-24 04:15PM
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04:42PM
(Associated Press Finance)
04:15PM
Oct-25-23 04:15PM
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07:09PM
04:15PM
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Feb-26-23 07:02AM
Kronos Worldwide, Inc. engages in the production and marketing of value-added titanium dioxide pigments. Its products are used for coatings and inks, plastics, paper and paper laminates, man-made fibers, health, food, and beauty, and ceramic, glass, and welding rods applications. The firm also offers assistance in pigment selection, consultation, on-site training, testing on lab scale equipment, and weathering tests technical services. The company was founded in 1916 and is headquartered in Dallas, TX.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
NACE ANDREW B Executive Vice President Aug 19 '24 Buy 11.34 500 5,670 16,453 Aug 20 02:39 PM NACE ANDREW B Executive Vice President Aug 15 '24 Buy 11.50 250 2,875 15,703 Aug 16 04:36 PM NACE ANDREW B Executive Vice President Aug 16 '24 Buy 11.21 250 2,802 15,953 Aug 16 04:36 PM Hanley Bryan A. Senior VP and Treasurer Mar 11 '24 Buy 10.65 1,000 10,652 2,500 Mar 12 08:20 AM
Index RUT
P/E 20.42
EPS (ttm) 1.52
Insider Own 87.74%
Shs Outstand 12.32M
Perf Week 11.86%
Market Cap 453.95M
Forward P/E -
EPS next Y -
Insider Trans -0.02%
Shs Float 1.51M
Perf Month 11.22%
Income 18.77M
PEG -
EPS next Q -
Inst Own 7.18%
Short Float 2.53%
Perf Quarter 7.64%
Sales 150.69M
P/S 3.01
EPS this Y -
Inst Trans -0.65%
Short Ratio 3.30
Perf Half Y 43.57%
Book/sh 11.80
P/B 2.64
EPS next Y -
ROA 10.93%
Short Interest 0.04M
Perf Year 38.22%
Cash/sh 4.03
P/C 7.72
EPS next 5Y -
ROE 12.09%
52W Range 19.41 - 37.60
Perf YTD 30.68%
Dividend Est. -
P/FCF 16.28
EPS past 5Y 8.28%
ROI 12.92%
52W High -17.23%
Beta 0.75
Dividend TTM 1.20 (3.86%)
Quick Ratio 5.48
Sales past 5Y 7.07%
Gross Margin 29.15%
52W Low 60.36%
ATR (14) 1.97
Dividend Ex-Date Nov 29, 2024
Current Ratio 7.52
EPS Y/Y TTM -9.17%
Oper. Margin 13.03%
RSI (14) 56.21
Volatility 8.29% 6.28%
Employees 555
Debt/Eq 0.00
Sales Y/Y TTM -4.68%
Profit Margin 12.46%
Recom -
Target Price -
Option/Short No / Yes
LT Debt/Eq 0.00
EPS Q/Q -39.61%
Payout 54.49%
Rel Volume 3.62
Prev Close 26.28
Sales Surprise -
EPS Surprise -
Sales Q/Q -16.57%
Earnings Nov 06 AMC
Avg Volume 11.58K
Price 31.12
SMA20 8.02%
SMA50 6.21%
SMA200 13.81%
Trades
Volume 41,886
Change 18.42%
Nov-06-24 06:02PM
(Associated Press Finance) +9.40%
-13.14%
04:15PM
04:15PM
Aug-07-24 11:51AM
Aug-06-24 05:54PM
(Associated Press Finance) +5.04%
04:18PM
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(Associated Press Finance)
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04:32PM
(Associated Press Finance)
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05:25PM
(Associated Press Finance)
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04:05PM
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(Simply Wall St.) +13.97%
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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
Tidlund Mary A. Director Nov 14 '24 Sale 29.02 1,000 29,021 5,650 Nov 14 10:41 AM Tidlund Mary A. Director Nov 12 '24 Sale 28.58 2,000 57,160 6,650 Nov 13 12:15 PM Mary Tidlund Director Nov 12 '24 Proposed Sale 28.05 3,600 100,980 Nov 12 11:00 AM
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