Index RUT
P/E 45.02
EPS (ttm) 0.57
Insider Own 21.30%
Shs Outstand 7.68M
Perf Week 5.71%
Market Cap 200.87M
Forward P/E 3.64
EPS next Y 7.07
Insider Trans 0.00%
Shs Float 6.15M
Perf Month 1.22%
Income 6.60M
PEG 2.14
EPS next Q 1.31
Inst Own 51.91%
Short Float 0.50%
Perf Quarter -10.76%
Sales 1.01B
P/S 0.20
EPS this Y 165.47%
Inst Trans -16.02%
Short Ratio 2.76
Perf Half Y 7.71%
Book/sh 55.51
P/B 0.46
EPS next Y 29.43%
ROA 0.05%
Short Interest 0.03M
Perf Year -9.31%
Cash/sh 32.16
P/C 0.80
EPS next 5Y 21.00%
ROE 1.56%
52W Range 21.15 - 35.79
Perf YTD -16.38%
Dividend Est. -
P/FCF -
EPS past 5Y -0.99%
ROI 0.05%
52W High -28.14%
Beta 1.94
Dividend TTM -
Quick Ratio -
Sales past 5Y 0.48%
Gross Margin 93.31%
52W Low 21.61%
ATR (14) 1.29
Dividend Ex-Date Aug 26, 1999
Current Ratio -
EPS Y/Y TTM 108.16%
Oper. Margin 40.22%
RSI (14) 56.84
Volatility 6.19% 4.89%
Employees 4500
Debt/Eq 27.60
Sales Y/Y TTM 8.03%
Profit Margin 0.65%
Recom 2.00
Target Price 39.33
Option/Short Yes / Yes
LT Debt/Eq 27.14
EPS Q/Q 170.11%
Payout -
Rel Volume 1.10
Prev Close 25.51
Sales Surprise -11.57%
EPS Surprise 214.29%
Sales Q/Q -11.28%
Earnings May 02 BMO
Avg Volume 11.25K
Price 25.72
SMA20 6.18%
SMA50 2.26%
SMA200 -5.53%
Trades
Volume 12,353
Change 0.82%
Date
Action
Analyst
Rating Change
Price Target Change
Apr-21-22 Initiated
BTIG Research
Neutral
Sep-09-21 Initiated
B. Riley Securities
Buy
$50
Jun-30-21 Initiated
Jefferies
Buy
$36
Nov-30-18 Initiated
BTIG Research
Neutral
May-01-17 Upgrade
Piper Jaffray
Underweight → Neutral
Oct-25-16 Downgrade
Piper Jaffray
Neutral → Underweight
Apr-28-16 Reiterated
Compass Point
Neutral
$4 → $3
Mar-03-16 Reiterated
Compass Point
Neutral
$8 → $4
Dec-11-15 Resumed
Piper Jaffray
Neutral
Dec-03-15 Reiterated
Compass Point
Neutral
$6 → $8
Aug-26-15 Upgrade
Compass Point
Sell → Neutral
$6
Aug-04-15 Reiterated
Compass Point
Sell
$6.50 → $6
Jul-31-15 Downgrade
Sterne Agee CRT
Buy → Neutral
Jul-31-15 Downgrade
BofA/Merrill
Neutral → Underperform
May-01-15 Reiterated
Compass Point
Sell
$7 → $6.50
Feb-27-15 Downgrade
Compass Point
Neutral → Sell
$7.50 → $7
Nov-03-14 Reiterated
Barclays
Equal Weight
$30 → $20
Sep-11-14 Resumed
Barclays
Equal Weight
$30
Aug-05-14 Downgrade
Oppenheimer
Outperform → Perform
$36
Aug-05-14 Downgrade
Compass Point
Buy → Neutral
$34 → $29
Show Previous Ratings
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(Simply Wall St.) +11.92%
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Ocwen Financial Corp. is a financial services holding company, which engages in the servicing and origination of mortgage loans through its subsidiaries. It operates through the following business segments: Servicing, Lending, and Corporate Items and Other. The Servicing segment engages in the residential servicing business, which offers residential and commercial mortgage loan servicing, special servicing, and asset management services. The Lending segment is involved in originating and purchasing conventional and government-insured residential forward and reverse mortgage loans mainly through correspondent lending arrangements, broker relationships and directly with mortgage customers. The Corporate Items and Other segment includes revenues and expenses that are not directly related to other reportable segments. The company was founded in February 1988 and is headquartered in West Palm Beach, FL.
Index -
P/E 14.24
EPS (ttm) 0.19
Insider Own 16.84%
Shs Outstand 42.78M
Perf Week -2.90%
Market Cap 115.70M
Forward P/E 8.38
EPS next Y 0.32
Insider Trans 0.00%
Shs Float 35.90M
Perf Month 0.75%
Income 8.23M
PEG 1.42
EPS next Q 0.04
Inst Own 49.53%
Short Float 0.21%
Perf Quarter -9.15%
Sales 281.20M
P/S 0.41
EPS this Y -3.70%
Inst Trans -2.17%
Short Ratio 0.55
Perf Half Y -6.62%
Book/sh 3.60
P/B 0.74
EPS next Y 23.08%
ROA 2.54%
Short Interest 0.08M
Perf Year -14.92%
Cash/sh 1.30
P/C 2.06
EPS next 5Y 10.00%
ROE 5.34%
52W Range 2.56 - 3.68
Perf YTD -18.29%
Dividend Est. 0.20 (7.46% )
P/FCF 4.48
EPS past 5Y -0.78%
ROI 3.51%
52W High -27.27%
Beta 1.15
Dividend TTM 0.20 (7.46% )
Quick Ratio 1.40
Sales past 5Y -6.29%
Gross Margin 33.56%
52W Low 4.69%
ATR (14) 0.06
Dividend Ex-Date Apr 29, 2024
Current Ratio 1.53
EPS Y/Y TTM -26.64%
Oper. Margin 6.41%
RSI (14) 49.84
Volatility 2.00% 2.00%
Employees 1900
Debt/Eq 0.65
Sales Y/Y TTM -1.68%
Profit Margin 2.93%
Recom 1.00
Target Price 5.35
Option/Short Yes / Yes
LT Debt/Eq 0.52
EPS Q/Q -142.42%
Payout 105.60%
Rel Volume 0.49
Prev Close 2.71
Sales Surprise 1.85%
EPS Surprise -9.09%
Sales Q/Q 0.08%
Earnings May 07 AMC
Avg Volume 137.55K
Price 2.68
SMA20 0.30%
SMA50 0.65%
SMA200 -10.30%
Trades
Volume 67,914
Change -1.11%
Date
Action
Analyst
Rating Change
Price Target Change
Nov-08-18 Reiterated
B. Riley FBR
Buy
$3.25 → $3.50
Nov-02-17 Downgrade
B. Riley FBR, Inc.
Buy → Neutral
$5.25 → $4
Oct-20-15 Initiated
Sidoti
Buy
$11
Mar-25-11 Upgrade
Robert W. Baird
Neutral → Outperform
$9 → $12
Apr-10-24 11:55AM
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(Associated Press Finance)
09:19AM
(Thomson Reuters StreetEvents)
07:00PM
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ARC Document Solutions, Inc. engages in the provision of document solutions to design, engineering, construction, and facilities management professionals. It offers managed print services (MPS), offsite services, archive and information management (AIM), specialized color printing, web-based document management applications, and equipment and supplies sales. The company was founded by Sathiyamurthy Chandramohan and Kumarakulasingam Suriyakumar in 1988 and is headquartered in San Ramon, CA.
Index -
P/E -
EPS (ttm) -0.22
Insider Own 5.38%
Shs Outstand 89.24M
Perf Week 9.90%
Market Cap 188.91M
Forward P/E -
EPS next Y -0.29
Insider Trans 0.00%
Shs Float 84.72M
Perf Month -9.05%
Income -18.75M
PEG -
EPS next Q -0.11
Inst Own 13.98%
Short Float 2.30%
Perf Quarter -7.05%
Sales 33.46M
P/S 5.65
EPS this Y 100.00%
Inst Trans -29.75%
Short Ratio 3.90
Perf Half Y 177.63%
Book/sh 0.73
P/B 2.87
EPS next Y -
ROA -17.40%
Short Interest 1.95M
Perf Year 235.45%
Cash/sh 0.57
P/C 3.70
EPS next 5Y -
ROE -26.19%
52W Range 0.53 - 3.03
Perf YTD 6.57%
Dividend Est. -
P/FCF -
EPS past 5Y 12.14%
ROI -28.30%
52W High -30.37%
Beta 2.71
Dividend TTM -
Quick Ratio 4.36
Sales past 5Y 94.22%
Gross Margin 94.01%
52W Low 298.11%
ATR (14) 0.14
Dividend Ex-Date -
Current Ratio 4.36
EPS Y/Y TTM 44.54%
Oper. Margin -38.83%
RSI (14) 49.04
Volatility 6.94% 6.72%
Employees 68
Debt/Eq 0.02
Sales Y/Y TTM 346.12%
Profit Margin -56.05%
Recom 1.00
Target Price 5.33
Option/Short Yes / Yes
LT Debt/Eq 0.01
EPS Q/Q 407.84%
Payout -
Rel Volume 0.46
Prev Close 2.16
Sales Surprise 67.30%
EPS Surprise 6.49%
Sales Q/Q 346.12%
Earnings Mar 05 BMO
Avg Volume 499.13K
Price 2.11
SMA20 2.70%
SMA50 -11.46%
SMA200 38.92%
Trades
Volume 231,326
Change -2.31%
Date
Action
Analyst
Rating Change
Price Target Change
Aug-05-22 Downgrade
Jefferies
Buy → Hold
$2
May-26-20 Resumed
JMP Securities
Mkt Outperform
$18
May-13-20 Initiated
Stifel
Buy
$19
May-07-20 Initiated
SVB Leerink
Outperform
Apr-22-20 Initiated
ROTH Capital
Buy
$28
Mar-24-20 Initiated
SunTrust
Buy
$16
Jan-16-20 Initiated
Cantor Fitzgerald
Overweight
$10
Mar-29-18 Initiated
Oppenheimer
Outperform
Feb-01-16 Resumed
Oppenheimer
Outperform
Oct-15-15 Initiated
FBR Capital
Outperform
$14
Apr-23-15 Resumed
Jefferies
Buy
$11
Apr-21-15 Initiated
Oppenheimer
Outperform
$11
Feb-07-14 Initiated
MLV & Co
Buy
$14
Dec-28-09 Reiterated
Cantor Fitzgerald
Buy
$5 → $12
Jul-29-09 Initiated
Cantor Fitzgerald
Buy
$6.50
Show Previous Ratings
Apr-25-24 07:00AM
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(Associated Press Finance) -5.85%
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Compugen Ltd. engages in the research, development, and commercialization of therapeutic and diagnostic biomarker product candidates including proteins and monoclonal antibodies. It focuses on research and development on immuno-oncology and autoimmune diseases. The company was founded by Eli Mintz, Simchon Faigler, and Amir Natan on February 10, 1993 and is headquartered in Holon, Israel.
Index -
P/E 6.25
EPS (ttm) 11.38
Insider Own 4.17%
Shs Outstand 14.34M
Perf Week -1.63%
Market Cap 1.03B
Forward P/E 7.67
EPS next Y 9.27
Insider Trans 0.00%
Shs Float 13.87M
Perf Month -5.34%
Income 169.59M
PEG -
EPS next Q 0.58
Inst Own 50.89%
Short Float 2.85%
Perf Quarter 19.41%
Sales 1.41B
P/S 0.73
EPS this Y -53.47%
Inst Trans -34.20%
Short Ratio 4.69
Perf Half Y 23.22%
Book/sh 83.47
P/B 0.85
EPS next Y 45.96%
ROA 7.79%
Short Interest 0.40M
Perf Year 57.55%
Cash/sh 1.58
P/C 45.03
EPS next 5Y -
ROE 15.43%
52W Range 41.56 - 77.21
Perf YTD 31.00%
Dividend Est. -
P/FCF 4.55
EPS past 5Y -
ROI 8.73%
52W High -7.89%
Beta 2.03
Dividend TTM -
Quick Ratio 1.59
Sales past 5Y 8.79%
Gross Margin 20.40%
52W Low 71.13%
ATR (14) 2.50
Dividend Ex-Date Nov 04, 2015
Current Ratio 1.71
EPS Y/Y TTM 112.19%
Oper. Margin 12.44%
RSI (14) 54.99
Volatility 2.79% 3.60%
Employees -
Debt/Eq 0.62
Sales Y/Y TTM 2.95%
Profit Margin 12.00%
Recom 1.17
Target Price 91.27
Option/Short Yes / Yes
LT Debt/Eq 0.61
EPS Q/Q -54.34%
Payout 0.00%
Rel Volume 0.57
Prev Close 69.92
Sales Surprise -0.31%
EPS Surprise -11.62%
Sales Q/Q -5.24%
Earnings Apr 25 BMO
Avg Volume 84.24K
Price 71.12
SMA20 0.71%
SMA50 6.36%
SMA200 14.13%
Trades
Volume 47,971
Change 1.72%
Date
Action
Analyst
Rating Change
Price Target Change
Jan-16-24 Resumed
Raymond James
Strong Buy
Nov-21-23 Downgrade
National Bank Financial
Outperform → Sector Perform
Nov-13-23 Resumed
Evercore ISI
Outperform
$142
Feb-17-23 Initiated
The Benchmark Company
Hold
Jan-17-23 Upgrade
CIBC
Neutral → Sector Outperform
Dec-21-21 Upgrade
Piper Sandler
Neutral → Overweight
$55 → $57
Dec-09-21 Upgrade
TD Securities
Hold → Buy
Oct-22-21 Downgrade
Raymond James
Outperform → Mkt Perform
Jul-26-21 Upgrade
Tudor Pickering
Hold → Buy
Jul-14-21 Downgrade
CIBC
Sector Outperform → Neutral
Jun-23-21 Upgrade
Evercore ISI
In-line → Outperform
Jan-19-21 Initiated
CIBC
Sector Outperform
Jan-11-21 Upgrade
Wolfe Research
Underperform → Peer Perform
Jun-11-20 Downgrade
Raymond James
Outperform → Mkt Perform
Mar-19-20 Downgrade
Wolfe Research
Peer Perform → Underperform
Mar-11-20 Downgrade
Tudor Pickering
Buy → Hold
Nov-21-19 Initiated
Wolfe Research
Peer Perform
Sep-30-19 Downgrade
Citigroup
Buy → Neutral
Mar-15-19 Downgrade
Jefferies
Buy → Hold
$3 → $2.60
Jan-30-19 Upgrade
Raymond James
Outperform → Strong Buy
Show Previous Ratings
May-02-24 04:00PM
Apr-30-24 10:38AM
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07:00AM
(Associated Press Finance)
06:29AM
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Precision Drilling Corp. engages in the provision of onshore drilling, completion, and production services to the oil and natural gas industry. It operates through the following business segments: Contract Drilling Services and Completion and Production Services. The Contract Drilling Services segment includes rig and directional drilling, procurement and distribution of oilfield supplies, and the manufacture, sale, and repair of drilling equipment. The Completion and Production Services segment includes service rigs, oilfield equipment rental, and camp and catering services. The company was founded in 1951 and is headquartered in Calgary, Canada.
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