229.02 - 234.51
169.21 - 260.10
55.82M / 54.92M (Avg.)
32.24 | 7.26
These metrics indicate whether the stock trades cheaply or expensively relative to its fundamentals. Value investors use them to find mispricings—buying stocks that appear undervalued, with solid long-term prospects and limited downside risk.
25.04
Positive P/E while VUZI shows losses. John Neff would investigate competitive advantages.
14.41
P/S above 1.5x VUZI's 4.90. Michael Burry would check for mean reversion risks.
5.10
Positive equity while VUZI shows negative equity. John Neff would investigate balance sheet advantage.
29.37
P/FCF less than half of VUZI's 80.98. David Dodd would verify if cash flow quality justifies this discount.
26.49
P/OCF less than half of VUZI's 61.70. David Dodd would verify if operating efficiency justifies this discount.
5.10
Positive fair value while VUZI shows negative value. John Neff would investigate valuation advantage.
1.00%
Positive earnings while VUZI shows losses. John Neff would investigate earnings advantage.
3.40%
FCF yield exceeding 1.5x VUZI's 1.23%. David Dodd would verify if cash flow quality justifies this premium.