33.44 - 34.57
31.40 - 61.90
7.61M / 5.87M (Avg.)
-152.73 | -0.22
Steady, sustainable growth is a hallmark of high-quality businesses. Value investors watch these metrics to confirm that the company's fundamental performance aligns with—or outpaces—its current market valuation.
12.64%
Positive revenue growth while FLNC is negative. John Neff might see a notable competitive edge here.
12.88%
Gross profit growth under 50% of FLNC's 64.76%. Michael Burry would be concerned about a severe competitive disadvantage.
-3.38%
Both companies show negative EBIT growth. Martin Whitman would consider macro or sector-specific headwinds.
-3.38%
Both companies face negative operating income growth. Martin Whitman would suspect broader market or cost hurdles.
-3.42%
Negative net income growth while FLNC stands at 68.13%. Joel Greenblatt would push for a reevaluation of cost or revenue strategies.
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0.20%
Share reduction more than 1.5x FLNC's 2.74%. David Dodd would see if the company is taking advantage of undervaluation to retire shares.
1.56%
Diluted share count expanding well above FLNC's 2.74%. Michael Burry would fear significant dilution to existing owners' stakes.
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7.99%
OCF growth under 50% of FLNC's 58.35%. Michael Burry might suspect questionable revenue recognition or rising costs.
5.59%
FCF growth under 50% of FLNC's 56.82%. Michael Burry would suspect weaker operating efficiencies or heavier capex burdens.
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16.64%
R&D dropping or stable vs. FLNC's 35.90%. David Dodd sees near-term margin benefits if the product pipeline is already strong.
5.93%
SG&A declining or stable vs. FLNC's 13.69%. David Dodd sees better overhead efficiency if it doesn't hamper revenue.