40.40 - 41.05
29.80 - 47.18
2.12M / 3.66M (Avg.)
18.02 | 2.27
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.
0.42
Positive P/E while SD shows losses. John Neff would investigate competitive advantages.
0.27
P/S less than half of SD's 0.78. Joel Greenblatt would verify if margins support this discount.
0.07
Similar P/B to SD's 0.08. Philip Fisher would investigate if similar multiples reflect similar asset efficiency.
-3.13
Negative FCF while SD shows P/FCF of 2.50. Joel Greenblatt would examine cash flow improvement potential.
1.24
P/OCF 50-75% of SD's 1.75. Bruce Berkowitz would examine if working capital management explains the gap.
0.07
Similar fair value ratio to SD's 0.08. Walter Schloss would investigate if similar valuations reflect similar quality.
60.02%
Positive earnings while SD shows losses. John Neff would investigate earnings advantage.
-31.93%
Negative FCF while SD shows yield of 39.98%. Joel Greenblatt would examine cash flow improvement potential.