Index RUT
P/E 18.34
EPS (ttm) 2.55
Insider Own 85.11%
Shs Outstand 11.08M
Perf Week 10.77%
Market Cap 2.99B
Forward P/E 19.25
EPS next Y 2.43
Insider Trans -0.06%
Shs Float 9.53M
Perf Month 16.40%
Income 148.38M
PEG 1.83
EPS next Q 1.26
Inst Own 18.40%
Short Float 10.32%
Perf Quarter 12.70%
Sales 3.31B
P/S 0.90
EPS this Y 9.94%
Inst Trans -0.42%
Short Ratio 8.68
Perf Half Y 34.51%
Book/sh 22.44
P/B 2.08
EPS next Y 8.85%
ROA 4.31%
Short Interest 0.98M
Perf Year 60.49%
Cash/sh 4.93
P/C 9.48
EPS next 5Y 10.00%
ROE 10.30%
52W Range 27.96 - 46.72
Perf YTD 19.05%
Dividend Est. -
P/FCF 8.76
EPS past 5Y 0.30%
ROI 5.23%
52W High -0.06%
Beta 0.78
Dividend TTM -
Quick Ratio 1.68
Sales past 5Y 8.69%
Gross Margin 28.43%
52W Low 67.01%
ATR (14) 1.23
Dividend Ex-Date -
Current Ratio 3.33
EPS Y/Y TTM 21.33%
Oper. Margin 7.08%
RSI (14) 75.77
Volatility 4.22% 2.61%
Employees 6700
Debt/Eq 0.91
Sales Y/Y TTM 1.49%
Profit Margin 4.49%
Recom 1.57
Target Price 46.00
Option/Short Yes / Yes
LT Debt/Eq 0.88
EPS Q/Q 3.19%
Payout 0.00%
Rel Volume 1.25
Prev Close 46.50
Sales Surprise 1.28%
EPS Surprise 29.48%
Sales Q/Q -0.98%
Earnings May 08 AMC
Avg Volume 113.42K
Price 46.69
SMA20 13.55%
SMA50 12.11%
SMA200 24.94%
Trades
Volume 141,265
Change 0.41%
Date
Action
Analyst
Rating Change
Price Target Change
Mar-12-24 Initiated
Canaccord Genuity
Buy
$52
Nov-30-21 Downgrade
Argus
Buy → Hold
May-14-21 Upgrade
Argus
Hold → Buy
$68
Mar-24-21 Upgrade
Truist
Hold → Buy
Nov-29-19 Downgrade
Argus
Buy → Hold
Nov-27-19 Downgrade
BofA/Merrill
Buy → Neutral
Aug-02-19 Downgrade
SunTrust
Buy → Hold
Oct-11-18 Initiated
KeyBanc Capital Mkts
Overweight
Jan-23-18 Upgrade
KeyBanc Capital Mkts
Sector Weight → Overweight
Oct-16-17 Downgrade
Sidoti
Buy → Neutral
Jun-19-17 Upgrade
Sidoti
Neutral → Buy
Apr-19-17 Initiated
Argus
Buy
$44
Oct-31-16 Upgrade
Sidoti
Neutral → Buy
Feb-22-16 Initiated
KeyBanc Capital Mkts
Sector Weight
Nov-25-09 Reiterated
Jefferies & Co
Hold
$13 → $10
Nov-23-09 Downgrade
Argus
Buy → Hold
Jun-17-09 Upgrade
Sun Trust Rbsn Humphrey
Neutral → Buy
$14
Apr-20-09 Upgrade
Argus
Hold → Buy
$11
Dec-04-08 Reiterated
Jefferies & Co
Underperform
$3.50 → $3
Oct-20-08 Downgrade
Jefferies & Co
Hold → Underperform
$5.25 → $3.50
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Central Garden & Pet Co. engages in the production and distribution of branded and private label products for the lawn, garden, and pet supplies markets. It operates through the Pet and Garden segments. The Pet segment focuses on dog and cat supplies such as dog treats and chews, toys, pet beds and containment, grooming products, waste management and training pads, supplies for aquatics, small animals, reptiles and pet birds including toys, cages and habitats, bedding, food and supplements, products for equine and livestock, animal and household health and insect control products, live fish and small animals as well as outdoor cushions. The Garden segment includes lawn and garden consumables such as grass, vegetable, flower and herb seed, wild bird feed, bird houses and other birding accessories, weed, grass, and other herbicides, insecticide and pesticide products, fertilizers, and live plants. The company was founded by William E. Brown in 1980 and is headquartered in Walnut Creek, CA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Walker John D. III President, Garden Consumer Pro Feb 26 '24 Option Exercise 22.27 54,172 1,206,151 110,061 Feb 28 04:18 PM Ranelli John Director Feb 15 '24 Sale 38.34 2,400 92,008 41 Feb 20 04:35 PM Machek Howard Chief Accounting Officer Feb 14 '24 Sale 36.40 5,000 182,000 59,406 Feb 14 04:53 PM Machek Howard Chief Accounting Officer Feb 13 '24 Option Exercise 21.76 4,681 101,859 67,982 Feb 14 04:53 PM Hanson John Edward President Pet Consumer Product Feb 13 '24 Sale 37.19 5,321 197,889 35,460 Feb 13 04:27 PM LAHANAS NICHOLAS Chief Financial Officer Feb 12 '24 Sale 37.64 13,101 493,122 115,796 Feb 13 04:36 PM Machek Howard Chief Accounting Officer Dec 15 '23 Option Exercise 27.20 6,000 163,200 53,461 Dec 19 08:08 PM LAHANAS NICHOLAS Chief Financial Officer Dec 14 '23 Option Exercise 27.80 34,074 947,338 122,695 Dec 15 07:45 PM Hanson John Edward President Pet Consumer Product Dec 05 '23 Sale 39.23 6,000 235,402 34,508 Dec 06 06:12 PM Ranelli John Director Nov 28 '23 Sale 36.22 2,800 101,404 146 Nov 29 05:32 PM Ranelli John Director Aug 31 '23 Sale 40.87 2,440 99,723 2,946 Sep 05 04:06 PM Walker John D. III President, Garden Consumer Pro Aug 23 '23 Sale 41.07 11,000 451,716 70,394 Aug 25 04:02 PM PENNINGTON BROOKS III Director Aug 15 '23 Sale 41.62 777 32,339 2,940 Aug 16 05:32 PM PENNINGTON BROOKS III Director Aug 14 '23 Option Exercise 27.88 3,587 100,006 6,527 Aug 16 05:32 PM Hanson John Edward Senior Vice President Aug 07 '23 Option Exercise 24.42 12,286 300,077 47,613 Aug 08 05:21 PM PENNINGTON BROOKS III Director Aug 07 '23 Sale 45.34 25,561 1,158,884 2,940 Aug 09 04:41 PM Hanson John Edward Senior Vice President Aug 07 '23 Sale 42.63 6,593 281,032 40,223 Aug 08 05:21 PM Machek Howard Chief Accounting Officer Aug 07 '23 Sale 42.65 3,000 127,950 47,461 Aug 08 04:10 PM LAHANAS NICHOLAS Chief Financial Officer Aug 04 '23 Option Exercise 36.70 10,450 383,515 117,599 Aug 08 04:06 PM Machek Howard Chief Accounting Officer Aug 04 '23 Option Exercise 36.70 7,221 265,011 57,076 Aug 08 04:10 PM Walker John D. III President, Garden Consumer Pro May 30 '23 Sale 34.75 1,399 48,619 81,394 Jun 01 04:04 PM
Index -
P/E -
EPS (ttm) -
Insider Own 0.61%
Shs Outstand 131.43M
Perf Week 22.10%
Market Cap 1.51B
Forward P/E 14.86
EPS next Y 0.77
Insider Trans 454.52%
Shs Float 130.62M
Perf Month -40.13%
Income -
PEG -
EPS next Q 0.10
Inst Own 113.58%
Short Float 3.26%
Perf Quarter -39.46%
Sales -
P/S -
EPS this Y -64.53%
Inst Trans -
Short Ratio 1.60
Perf Half Y -32.41%
Book/sh 6.85
P/B 1.68
EPS next Y 30.19%
ROA -
Short Interest 4.26M
Perf Year -
Cash/sh 0.23
P/C 49.25
EPS next 5Y 12.70%
ROE -
52W Range 8.92 - 22.37
Perf YTD -45.65%
Dividend Est. 0.14 (1.22%)
P/FCF -
EPS past 5Y -
ROI -
52W High -48.64%
Beta -
Dividend TTM 0.07 (0.61%)
Quick Ratio 1.16
Sales past 5Y 3.47%
Gross Margin -
52W Low 28.81%
ATR (14) 1.02
Dividend Ex-Date Mar 14, 2024
Current Ratio 2.51
EPS Y/Y TTM -
Oper. Margin -
RSI (14) 27.40
Volatility 6.26% 5.82%
Employees 20000
Debt/Eq 1.80
Sales Y/Y TTM -
Profit Margin -
Recom 2.62
Target Price 12.05
Option/Short Yes / Yes
LT Debt/Eq 1.74
EPS Q/Q -74.49%
Payout 0.00%
Rel Volume 1.26
Prev Close 11.58
Sales Surprise -2.38%
EPS Surprise -40.83%
Sales Q/Q 3.25%
Earnings May 02 BMO
Avg Volume 2.66M
Price 11.49
SMA20 -29.14%
SMA50 -35.00%
SMA200 -36.96%
Trades
Volume 3,352,343
Change -0.78%
Date
Action
Analyst
Rating Change
Price Target Change
May-07-24 Downgrade
Redburn Atlantic
Buy → Neutral
$13.40
May-03-24 Downgrade
Stifel
Buy → Hold
May-03-24 Downgrade
JP Morgan
Overweight → Neutral
$22 → $11
Feb-28-24 Downgrade
Barclays
Equal Weight → Underweight
$17 → $19
Jan-25-24 Initiated
Goldman
Neutral
$22
Jan-11-24 Initiated
Wolfe Research
Outperform
$24
Dec-15-23 Initiated
Wells Fargo
Overweight
$24
Nov-21-23 Initiated
Jefferies
Buy
$20
Oct-18-23 Initiated
Stifel
Buy
$20
Oct-16-23 Initiated
JP Morgan
Overweight
$20
Oct-06-23 Initiated
Barclays
Equal Weight
$17
Oct-05-23 Initiated
Redburn Atlantic
Overweight
$29
Oct-03-23 Initiated
Robert W. Baird
Outperform
$24
Show Previous Ratings
May-09-24 01:47PM
Hedge Fund and Insider Trading News: John Paulson, Ken Griffin, Marshall Wace LLP, Bridgewater Associates, AREX Capital Management, Ancora Advisors, Millennium Management, Balyasny Asset Management, Caesars Entertainment Inc (CZR), Vestis Corporation (VSTS), and More
(Insider Monkey) +9.66%
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Vestis Corp. engages in the B2B uniform and workplace supplies category. It provides uniform services and workplace supplies to North American customers from Fortune 500 companies to locally owned small businesses across a broad set of end markets. The company comprehensive service offering includes a full-service uniform rental program, cleanroom and other specialty garment processing, floor mats, towels, linens, managed restroom services, and first aid supplies. Vestis is headquartered in Roswell, GA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
DONOVAN TIMOTHY R EVP, CLO and General Counsel May 10 '24 Buy 11.57 12,975 150,079 48,875 May 10 04:58 PM Jokinen Tracy C Director May 10 '24 Buy 11.69 8,395 98,110 29,161 May 10 08:02 PM Corvex Management LP 10% Owner May 08 '24 Buy 10.43 622,346 6,491,069 16,591,833 May 08 06:43 PM Holloman James Phillip Director May 08 '24 Buy 10.57 20,400 215,573 64,532 May 10 04:53 PM Corvex Management LP 10% Owner May 07 '24 Buy 10.43 996,300 10,391,409 15,969,487 May 08 06:43 PM Corvex Management LP 10% Owner May 06 '24 Buy 9.54 1,828,009 17,439,206 14,973,187 May 08 06:43 PM Pertz Douglas A Director May 03 '24 Buy 10.02 110,000 1,102,079 141,136 May 06 04:51 PM Holloman James Phillip Director May 03 '24 Buy 9.93 20,200 200,548 44,132 May 06 04:54 PM Scott Kim President and CEO Feb 09 '24 Buy 19.14 15,000 287,175 183,131 Feb 12 04:24 PM Pertz Douglas A Director Dec 15 '23 Buy 19.60 5,120 100,352 23,697 Dec 18 05:12 PM Pertz Douglas A Director Dec 14 '23 Buy 19.10 5,250 100,275 18,577 Dec 18 05:12 PM
Index -
P/E 66.77
EPS (ttm) 0.03
Insider Own 27.25%
Shs Outstand 8.71M
Perf Week 16.32%
Market Cap 18.94M
Forward P/E -
EPS next Y -
Insider Trans 0.00%
Shs Float 6.24M
Perf Month -17.84%
Income 0.24M
PEG -
EPS next Q -
Inst Own 19.75%
Short Float 0.27%
Perf Quarter 27.75%
Sales 57.04M
P/S 0.33
EPS this Y -
Inst Trans -0.45%
Short Ratio 0.54
Perf Half Y 135.93%
Book/sh 5.50
P/B 0.40
EPS next Y -
ROA 0.24%
Short Interest 0.02M
Perf Year 24.86%
Cash/sh 0.49
P/C 4.47
EPS next 5Y -
ROE 0.51%
52W Range 0.80 - 2.95
Perf YTD 90.52%
Dividend Est. -
P/FCF 1.95
EPS past 5Y -
ROI 0.32%
52W High -25.08%
Beta 1.08
Dividend TTM -
Quick Ratio 1.24
Sales past 5Y 1.86%
Gross Margin 63.95%
52W Low 176.25%
ATR (14) 0.21
Dividend Ex-Date Feb 18, 2022
Current Ratio 3.64
EPS Y/Y TTM 198.81%
Oper. Margin -10.45%
RSI (14) 53.05
Volatility 10.10% 9.51%
Employees 138
Debt/Eq 0.76
Sales Y/Y TTM -40.68%
Profit Margin 0.42%
Recom 1.00
Target Price 5.00
Option/Short No / Yes
LT Debt/Eq 0.60
EPS Q/Q 238500.00%
Payout -
Rel Volume 0.13
Prev Close 2.18
Sales Surprise -
EPS Surprise -
Sales Q/Q -44.02%
Earnings Jan 11 AMC
Avg Volume 31.63K
Price 2.21
SMA20 3.51%
SMA50 4.52%
SMA200 47.26%
Trades
Volume 4,169
Change 1.38%
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(Thomson Reuters StreetEvents) -7.26%
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Educational Development Corp. engages in the provision of educational children's books. It operates through the PaperPie and Publishing segments. The PaperPie segment sells books through independent consultants directly to customers by hosting home parties, through social media collaboration platforms on the internet, by hosting book fairs with school and public libraries. The Publishing segment sells its products to bookstores, toy stores, specialty stores, museums, and other retail outlets. The company was founded on August 23, 1965 and is headquartered in Tulsa, OK.
Index -
P/E -
EPS (ttm) -1.42
Insider Own 9.97%
Shs Outstand 45.79M
Perf Week 0.53%
Market Cap 42.37M
Forward P/E -
EPS next Y -0.63
Insider Trans 0.00%
Shs Float 41.23M
Perf Month -5.42%
Income -64.81M
PEG -
EPS next Q -0.23
Inst Own 27.36%
Short Float 2.85%
Perf Quarter 2.82%
Sales 226.58M
P/S 0.19
EPS this Y 22.03%
Inst Trans -11.66%
Short Ratio 6.31
Perf Half Y 8.86%
Book/sh -10.86
P/B -
EPS next Y 20.84%
ROA -11.99%
Short Interest 1.17M
Perf Year -30.42%
Cash/sh 0.66
P/C 1.40
EPS next 5Y -
ROE -20.24%
52W Range 0.67 - 1.64
Perf YTD 0.86%
Dividend Est. -
P/FCF 14.97
EPS past 5Y -24.74%
ROI -14.02%
52W High -43.57%
Beta 1.92
Dividend TTM -
Quick Ratio 1.40
Sales past 5Y 6.86%
Gross Margin 10.53%
52W Low 37.81%
ATR (14) 0.07
Dividend Ex-Date -
Current Ratio 3.40
EPS Y/Y TTM 77.57%
Oper. Margin -16.77%
RSI (14) 50.40
Volatility 4.91% 6.78%
Employees 369
Debt/Eq 0.63
Sales Y/Y TTM -34.23%
Profit Margin -28.60%
Recom 3.00
Target Price 1.02
Option/Short Yes / Yes
LT Debt/Eq 0.59
EPS Q/Q 57.32%
Payout -
Rel Volume 0.52
Prev Close 0.94
Sales Surprise -8.00%
EPS Surprise 28.94%
Sales Q/Q -23.23%
Earnings May 14 BMO
Avg Volume 186.30K
Price 0.93
SMA20 1.65%
SMA50 1.01%
SMA200 -6.65%
Trades
Volume 97,524
Change -1.04%
Date
Action
Analyst
Rating Change
Price Target Change
May-04-23 Downgrade
Truist
Buy → Hold
Aug-03-22 Downgrade
JP Morgan
Overweight → Neutral
May-11-22 Downgrade
UBS
Buy → Neutral
$26 → $8
May-11-22 Downgrade
Stifel
Buy → Hold
$13 → $8
Dec-07-21 Initiated
Wells Fargo
Equal Weight
$33
Jun-24-21 Initiated
UBS
Buy
$66
Jan-04-21 Initiated
Truist
Buy
$65
Jan-04-21 Initiated
Stifel
Buy
$65
Jan-04-21 Initiated
JP Morgan
Overweight
$63
Jan-04-21 Initiated
Deutsche Bank
Buy
$60
Apr-30-24 08:00AM
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Hydrofarm Holdings Group, Inc. engages in the manufacture and distribution of controlled environment agriculture equipment and supplies. It offers lighting, atmospheric control, hydroponics, nutrients and additives, growing media, plant care and pest and disease control, seed starting and cloning, garden accessories, and food storage products. The firm operates through the U.S. and Canada geographical segments. The company was founded in 1977 and is headquartered in Shoemakersville, PA.
Insider Trading
Relationship
Date
Transaction
Cost
#Shares
Value ($)
#Shares Total
SEC Form 4
Toler William Douglas CEO and Chairman of the Board May 16 '23 Buy 1.04 15,000 15,600 1,799,328 May 17 06:30 PM Toler William Douglas CEO and Chairman of the Board May 15 '23 Buy 1.09 35,000 38,150 1,784,328 May 17 06:30 PM
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