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beauty\u0022:28,\u0022e.l.f.\u0022:58}],\u0022maxVal\u0022:218,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u0022ELF\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022ELF Beauty Inc\u0022,\u0022Exchange\u0022:\u0022NYSE\u0022,\u0022CurrencyCode\u0022:\u0022USD\u0022,\u0022CurrencyName\u0022:\u0022US Dollar\u0022,\u0022CurrencySymbol\u0022:\u0022$\u0022,\u0022CountryName\u0022:\u0022USA\u0022,\u0022CountryISO\u0022:\u0022US\u0022,\u0022OpenFigi\u0022:\u0022BBG00DQ6VYP3\u0022,\u0022ISIN\u0022:\u0022US26856L1035\u0022,\u0022LEI\u0022:\u0022549300U2K9TCON25C029\u0022,\u0022PrimaryTicker\u0022:\u0022ELF.US\u0022,\u0022CUSIP\u0022:\u002226856L103\u0022,\u0022CIK\u0022:\u00221600033\u0022,\u0022EmployerIdNumber\u0022:\u002246-4464131\u0022,\u0022FiscalYearEnd\u0022:\u0022March\u0022,\u0022IPODate\u0022:\u00222016-09-22\u0022,\u0022InternationalDomestic\u0022:\u0022Domestic\u0022,\u0022Sector\u0022:\u0022Consumer Defensive\u0022,\u0022Industry\u0022:\u0022Household \u0026 Personal Products\u0022,\u0022GicSector\u0022:\u0022Consumer Staples\u0022,\u0022GicGroup\u0022:\u0022Household \u0026 Personal Products\u0022,\u0022GicIndustry\u0022:\u0022Personal Care Products\u0022,\u0022GicSubIndustry\u0022:\u0022Personal Care Products\u0022,\u0022HomeCategory\u0022:\u0022Domestic\u0022,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022e.l.f. Beauty, Inc., together with its subsidiaries, provides cosmetic and skin care products under the e.l.f. Cosmetics, e.l.f. Skin, Well People, Naturium, and Keys Soulcare brand names worldwide. The company offers eye, lip, face, paw, and skin care products. It sells its products through national and international retailers and direct-to-consumer channels, which include e-commerce platforms in the United States, and internationally primarily in the United Kingdom and Canada. The company was formerly known as J.A. Cosmetics Holdings, Inc. and changed its name to e.l.f. Beauty, Inc. in April 2016. e.l.f. Beauty, Inc. was founded in 2004 and is headquartered in Oakland, California.\u0022,\u0022Address\u0022:\u0022570 10th Street, Oakland, CA, United States, 94607\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u0022570 10th Street\u0022,\u0022City\u0022:\u0022Oakland\u0022,\u0022State\u0022:\u0022CA\u0022,\u0022Country\u0022:\u0022United States\u0022,\u0022ZIP\u0022:\u002294607\u0022},\u0022Listings\u0022:[],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Tarang P. Amin\u0022,\u0022Title\u0022:\u0022Chairman, CEO \u0026 President\u0022,\u0022YearBorn\u0022:\u00221965\u0022},{\u0022Name\u0022:\u0022Ms. Mandy J. Fields\u0022,\u0022Title\u0022:\u0022Senior VP \u0026 CFO\u0022,\u0022YearBorn\u0022:\u00221981\u0022},{\u0022Name\u0022:\u0022Mr. Josh Franks\u0022,\u0022Title\u0022:\u0022Senior VP \u0026 COO\u0022,\u0022YearBorn\u0022:\u00221978\u0022},{\u0022Name\u0022:\u0022Mr. Scott K. 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ancingActivities\u0022:\u0022-4941000.00\u0022,\u0022changeToOperatingActivities\u0022:null,\u0022netIncome\u0022:\u00224357000.00\u0022,\u0022changeInCash\u0022:\u00229336000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u00224668000.00\u0022,\u0022endPeriodCashFlow\u0022:\u002214004000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u002224519000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u002210289000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:null,\u0022dividendsPaid\u0022:null,\u0022changeToInventory\u0022:\u0022-2147000.00\u0022,\u0022changeToAccountReceivables\u0022:\u00224448000.00\u0022,\u0022salePurchaseOfStock\u0022:null,\u0022otherCashflowsFromFinancingActivities\u0022:\u002226759000.00\u0022,\u0022changeToNetincome\u0022:null,\u0022capitalExpenditures\u0022:\u002210242000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u00226409000.00\u0022,\u0022stockBasedCompensation\u0022:\u0022503000.00\u0022,\u0022otherNonCashItems\u0022:\u00226894000.00\u0022,\u0022freeCashFlow\u0022:\u002214277000.00\u0022},\u00222015-12-31\u0022:{\u0022date\u0022:\u00222015-12-31\u0022,\u0022filing_date\u0022:null,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:\u0022-2875000.00\u0022,\u0022changeToLiabilities\u0022:\u00223532000.00\u0022,\u0022totalCashflowsFromInvestingActivities\u0022:\u0022-10242000.00\u0022,\u0022netBorrowings\u0022:\u0022-4575000.00\u0022,\u0022totalCashFromFinancingActivities\u0022:\u0022-4941000.00\u0022,\u0022changeToOperatingActivities\u0022:\u0022576000.00\u0022,\u0022netIncome\u0022:\u00224357000.00\u0022,\u0022changeInCash\u0022:\u00229336000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u00224668000.00\u0022,\u0022endPeriodCashFlow\u0022:\u002214004000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u002224519000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u002210289000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:\u0022-100000.00\u0022,\u0022dividendsPaid\u0022:\u002268000000.00\u0022,\u0022changeToInventory\u0022:\u0022-2147000.00\u0022,\u0022changeToAccountReceivables\u0022:\u00224448000.00\u0022,\u0022salePurchaseOfStock\u0022:\u002225000.00\u0022,\u0022otherCashflowsFromFinancingActivities\u0022:\u0022-391000.00\u0022,\u0022changeToNetincome\u0022:\u00222394000.00\u0022,\u0022capitalExpenditures\u0022:\u002210242000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u0022-3022000.00\u0022,\u0022stockBasedCompensation\u0022:null,\u0022otherNonCashItems\u0022:\u00221559000.00\u0022,\u0022freeCashFlow\u0022:\u002214277000.00\u0022},\u00222015-03-31\u0022:{\u0022date\u0022:\u00222015-03-31\u0022,\u0022filing_date\u0022:\u00222014-12-31\u0022,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:null,\u0022changeToLiabilities\u0022:null,\u0022totalCashflowsFromInvestingActivities\u0022:null,\u0022netBorrowings\u0022:null,\u0022totalCashFromFinancingActivities\u0022:\u0022252571000.00\u0022,\u0022changeToOperatingActivities\u0022:null,\u0022netIncome\u0022:\u0022-8193000.00\u0022,\u0022changeInCash\u0022:\u002212491000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u00225560000.00\u0022,\u0022endPeriodCashFlow\u0022:\u002212491000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u0022-7507000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u00227985000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:null,\u0022dividendsPaid\u0022:null,\u0022changeToInventory\u0022:\u0022-6207000.00\u0022,\u0022changeToAccountReceivables\u0022:\u0022-5488000.00\u0022,\u0022salePurchaseOfStock\u0022:\u0022105140000.00\u0022,\u0022otherCashflowsFromFinancingActivities\u0022:\u0022155000000.00\u0022,\u0022changeToNetincome\u0022:null,\u0022capitalExpenditures\u0022:\u00221616000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u0022-11695000.00\u0022,\u0022stockBasedCompensation\u0022:\u00225667000.00\u0022,\u0022otherNonCashItems\u0022:\u00221039000.00\u0022,\u0022freeCashFlow\u0022:\u0022-9123000.00\u0022},\u00222014-12-31\u0022:{\u0022date\u0022:\u00222014-12-31\u0022,\u0022filing_date\u0022:null,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:\u0022-2875000.00\u0022,\u0022changeToLiabilities\u0022:\u0022-4128000.00\u0022,\u0022totalCashflowsFromInvestingActivities\u0022:\u0022-239507000.00\u0022,\u0022netBorrowings\u0022:\u0022152681000.00\u0022,\u0022totalCashFromFinancingActivities\u0022:\u0022252570000.00\u0022,\u0022changeToOperatingActivities\u0022:\u0022-2216000.0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Beauty (ELF) Stock Sinks As Market Gains: Here\u0027s Why\u0022,\u0022content\u0022:\u0022e.l.f. Beauty (ELF) closed at $105.62 in the latest trading session, marking a -0.33% move from the prior day. This move lagged the S\u0026P 500\u0027s daily gain of 0.01%. Meanwhile, the Dow experienced a rise of 0.09%, and the technology-dominated Nasdaq saw an increase of 0.08%.\\n\\nPrior to today\u0027s trading, shares of the cosmetics company had lost 24.43% over the past month. This has lagged the Consumer Staples sector\u0027s gain of 0.53% and the S\u0026P 500\u0027s gain of 1.21% in that time.\\n\\nThe investment community will be paying close attention to the earnings performance of e.l.f. Beauty in its upcoming release. In that report, analysts expect e.l.f. Beauty to post earnings of $0.47 per share. This would mark a year-over-year decline of 42.68%. Our most recent consensus estimate is calling for quarterly revenue of $291.3 million, up 35.17% from the year-ago period.\\n\\nRegarding the entire year, the Zacks Consensus Estimates forecast earnings of $3.53 per share and revenue of $1.32 billion, indicating changes of +11.01% and +29.18%, respectively, compared to the previous year.\\n\\nAny recent changes to analyst estimates for e.l.f. Beauty should also be noted by investors. Recent revisions tend to reflect the latest near-term business trends. As a result, we can interpret positive estimate revisions as a good sign for the company\u0027s business outlook.\\n\\nOur research suggests that these changes in estimates have a direct relationship with upcoming stock price performance. To capitalize on this, we\u0027ve crafted the Zacks Rank, a unique model that incorporates these estimate changes and offers a practical rating system.\\n\\nThe Zacks Rank system, ranging from #1 (Strong Buy) to #5 (Strong Sell), possesses a remarkable history of outdoing, externally audited, with #1 stocks returning an average annual gain of +25% since 1988. The Zacks Consensus EPS estimate has moved 0.01% lower within the past month. e.l.f. Beauty is currently a Zacks Rank #3 (Hold).\\n\\nIn terms of valuation, e.l.f. Beauty is currently trading at a Forward P\\\/E ratio of 29.99. This valuation marks a premium compared to its industry\u0027s average Forward P\\\/E of 26.56.\\n\\nOne should further note that ELF currently holds a PEG ratio of 1.8. The PEG ratio is similar to the widely-used P\\\/E ratio, but this metric also takes the company\u0027s expected earnings growth rate into account. The Cosmetics industry currently had an average PEG ratio of 1.47 as of yesterday\u0027s close.\\n\\nThe Cosmetics industry is part of the Consumer Staples sector. Currently, this industry holds a Zacks Industry Rank of 161, positioning it in the bottom 37% of all 250+ industries.\\n\\nStory continues\\n\\nThe Zacks Industry Rank gauges the strength of our individual industry groups by measuring the average Zacks Rank of the individual stocks within the groups. Our research shows that the top 50% rated industries outperform the bottom half by a factor of 2 to 1.\\n\\nKeep in mind to rely on Zacks.com to watch all these stock-impacting metrics, and more, in the succeeding trading sessions.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\ne.l.f. Beauty (ELF) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/e-l-f-beauty-elf-214520396.html\u0022,\u0022symbols\u0022:[\u00220EF.STU\u0022,\u0022ELF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.996,\u0022neg\u0022:0.011,\u0022neu\u0022:0.865,\u0022pos\u0022:0.123},\u0022time_elapsed_date\u0022:\u00227 hours ago\u0022},{\u0022date\u0022:\u00222024-10-01T04:01:00+00:00\u0022,\u0022title\u0022:\u0022e.l.f. Beauty Releases Its 2024 Impact Report, Emphasizing Its Positioning as a Different Kind of Company\u0022,\u0022content\u0022:\u0022e.l.f. Beauty Releases Its 2024 Impact Report, Emphasizing Its Positioning as a Different Kind of Company (Graphic: Business Wire)\\n\\nWith a commitment to be purpose led and results driven, e.l.f. Beauty outlines progress it\\u2019s making for people, product and the planet\\n\\nOAKLAND, Calif., October 01, 2024--(BUSINESS WIRE)--e.l.f. Beauty (NYSE: ELF) released its annual Impact Report, outlining the company\\u2019s progress in its mission to make the best of beauty accessible to every eye, lip and face.\\n\\nIn this global overview that covers FY 2024 and early FY 2025, e.l.f. Beauty details actions and progress in supporting positive impacts for people, product and the planet across the company\\u2019s five brands: e.l.f. Cosmetics, e.l.f. SKIN, Keys Soulcare, Well People and NATURIUM.\\n\\ne.l.f. Beauty is committed to being a different kind of company, one that is purpose led and results driven, fueled by the belief that anything is e.l.f.ing possible and a business can both do good and be good. Positivity, inclusivity and accessibility have been built into e.l.f. Beauty\\u2019s DNA since its founding.\\n\\n\\\u0022Our Impact Report reflects on what e.l.f. Beauty has done to be bold disruptors with a kind heart. We also use this as an opportunity to set new aspirations along with metrics for how we\\u2019ll hold ourselves accountable,\\\u0022 said Tarang Amin, Chairman and CEO of e.l.f. Beauty.\\n\\nAmin added: \\\u0022As a company, we have enjoyed more than five years of exceptional, consistent, industry-leading growth and it\\u2019s incredibly important that we use the wide-reaching platform we have to stand up for what we believe in and use it to make a positive difference.\\\u0022\\n\\ne.l.f. Beauty\\u2019s strong ethos powers its purpose, purpose powers its people, people power its performance \\u2014 and performance powers its possibilities.\\n\\nTOP IMPACT HIGHLIGHTS\\n\\ne.l.f. Beauty is the only publicly traded U.S. company \\u2014 out of ~4,100 \\u2014 with a Board of Directors that is more than 78% women and 44% diverse.* More than 2,500 ingredients are excluded from our brands\\u2019 formulations to exceed FDA and EUCR restrictions. The U.S. FDA only restricts 11 ingredients. Responsible sourcing is an integral part of our operating model with more than 85% of our products made in Fair Trade Certified\\u2122 facilities. We continued to progress our efforts on reducing our packaging intensity, estimating 400 tons of packaging to be eliminated per year through lightweighting packaging. We introduced two new commitments towards sustainable packaging, including for 50% of all plastic packaging to contain recycled content or responsibly sourced bio-based content by 2030. We continued to meet our commitment for 100% renewable energy at our directly managed sites and to meet reduction targets set for our Scope 1 and 2 emissions.\\n\\nStory continues\\n\\nTo encourage community engagement across e.l.f. Beauty\\u2019s intentional and principled work, the company debuted a new corporate website in connection with the FY 2024 Impact Report.\\n\\nCheck out e.l.f. Beauty\\u2019s FY 2024 Impact Report.\\n\\nAbout e.l.f. Beauty\\n\\ne.l.f. Beauty (NYSE: ELF) is fueled by a belief that anything is e.l.f.ing possible. We are a different kind of company that disrupts norms, shapes culture and connects communities, committed to positivity, inclusivity and accessibility. Our mission is clear: to make the best of beauty accessible to every eye, lip and face. e.l.f. Cosmetics, e.l.f. SKIN, Keys Soulcare, Well People and NATURIUM are led by purpose, driven by results and elevated by our superpowers. e.l.f. Beauty has double certifications from both Leaping Bunny and PETA, offers e.l.f. clean and vegan products and proudly stands as the first beauty company with Fair Trade Certified\\u2122 facilities. A kind heart is at the center of our ethos: We donate 2% of net profits to organizations that make positive impacts. Learn more at www.elfbeauty.com\\n\\nView source version on businesswire.com: https:\\\/\\\/www.businesswire.com\\\/news\\\/home\\\/20240930375314\\\/en\\\/\\n\\nContacts\\n\\ncorpcomms@elfbeauty.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/e-l-f-beauty-releases-040100547.html\u0022,\u0022symbols\u0022:[\u00220EF.STU\u0022,\u0022ELF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.006,\u0022neu\u0022:0.757,\u0022pos\u0022:0.237},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022},{\u0022date\u0022:\u00222024-09-28T12:00:00+00:00\u0022,\u0022title\u0022:\u00223 Monster Stocks That Can Crush the S\u0026amp;P 500 Over the Next 5 Years\u0022,\u0022content\u0022:\u0022The S\u0026P 500 index has averaged 10% annualized returns during the past half-century, but it\u0027s not that difficult to outperform that target if you invest in a group of well-chosen growth stocks.\\n\\nTo give you some ideas, a team of Motley Fool contributors see promising prospects in e.l.f. Beauty(NYSE: ELF), Dutch Bros(NYSE: BROS), and Celsius Holdings(NASDAQ: CELH). Here\u0027s why these stocks should deliver superior returns.\\n\\nThis is one of the fastest-growing consumer brands\\n\\nJohn Ballard (e.l.f. Beauty): Shares of e.l.f. Beauty have rocketed 275% during the past three years. The company\u0027s focus on delivering value in color cosmetics has enabled the company to gain significant market share against industry leaders. The company still has tremendous growth potential worldwide, but investors can buy the stock at a more reasonable valuation with the shares down more than 50% from their high in February.\\n\\nHigh inflation bolstered e.l.f.\u0027s value proposition. In the 2025 fiscal first quarter ended June 30, sales jumped 50% from the year-ago quarter. It is now the No. 2 mass brand in the U.S., with 12% market share, and management is working to expand the brand globally. International sales make up only 16% of the business, but grew an impressive 91% year over year last quarter.\\n\\ne.l.f. Beauty has promising growth potential, and management sees value in the stock after the sell-off. The company recently announced a $500 million share repurchase program. The stock has declined on expectations that higher marketing investments will weigh on earnings and margins in the near term. However, earnings are still expected to be up 10% this year before accelerating to 26% in fiscal 2026.\\n\\nGiven the enormous runway in international markets, the stock should outperform the broader market over the next five years and beyond.\\n\\nGreat coffee, growing sales\\n\\nJennifer Saibil (Dutch Bros): How do you open a chain of restaurants that basically sells coffee but creates a message distinctive enough to differentiate it from Starbucks and gain a huge following? Ask Dutch Bros. This small-town, down-to-earth coffee chain is expanding rapidly, generating high-sales growth and developing a growing base of loyal fans.\\n\\nDutch Bros has been around for decades as a small, local coffee shop chain in Oregon. After honing its image and culture and developing a line of popular beverages, it became a public company with big growth plans. It has successfully entered new states on the West Coast and across mostly Southern states, for now, and it has grown from a total of 415 stores in 2020 to 912 by the end of Q2. It opened 159 stores in 2023, and it\u0027s chasing an opportunity of 4,000 stores during the next 10 to 15 years, which is a goal that implies accelerating expansion.\\n\\nStory continues\\n\\nWith new stores come higher sales. Sales growth has been strong and steady, coming in at 30% year over year in Q2. With higher sales and efficient operations come profits, and it\u0027s been reporting growing net income.\\n\\nOne important new development is digital ordering. Despite the seeming need for everyone to go digital these days, Dutch Bros has found great success without it. Now, however, it has tested mobile ordering in some of its stores, and it\u0027s set to go live by the end of the year. That sets it up for further success. Between its popular drinks and culture, new stores, and digital launch, Dutch Bros should easily be able to keep up strong growth for the foreseeable future.\\n\\nDutch Bros stock is up 38% during the past year, outperforming the market, and it could be a market-crushing stock during the next five years and longer.\\n\\nThis beverage stock has more upside\\n\\nJeremy Bowman (Celsius Holdings): Celsius Holdings was one of the biggest breakout stocks of the pandemic, surging after the energy drink caught fire on Amazon during the lockdown period.\\n\\nFrom the start of 2020, the stock gained more than 5,000% at one point before falling sharply in recent months on concerns about slowing growth, a maturing energy-drink category, and news that Pepsico overstocked on Celsius inventory, meaning it overestimated demand after becoming a distribution partner.\\n\\nCelsius stock is now down nearly 70% from its peak this year, but that sets up a good buying opportunity for investors. While the company\u0027s days of triple-digit percentage gains are probably over, the growth story is far from dead, and the stock looks reasonably priced now at a price-to-earnings (P\\\/E) ratio of 31.\\n\\nIn Q2, revenue jumped 23% to $402 million, and its gross margin continued to improve, widening 320 basis points to 52%, showing the business continues to become more efficient, benefiting from freight optimization and lower materials costs.\\n\\nThough there are signs that growth in the overall energy-drink category is slowing as market leader Monster Beverage reported just 6% constant-current growth in its Q2, Celsius continues to gain market share with retail-dollar share up 1.4 percentage points to 11% in Q2, while growth remains strong at the warehouse-club level and on Amazon.\\n\\nThe upshot is that Celsius looks oversold after the recent pullback. Investors can take advantage as the business still has a promising runway of growth ahead of it.\\n\\nShould you invest $1,000 in e.l.f. Beauty right now?\\n\\nBefore you buy stock in e.l.f. Beauty, consider this:\\n\\nThe Motley Fool Stock Advisor analyst team just identified what they believe are the 10 best stocks for investors to buy now\\u2026 and e.l.f. Beauty wasn\\u2019t one of them. The 10 stocks that made the cut could produce monster returns in the coming years.\\n\\nConsider when\\u00a0Nvidia made this list on April 15, 2005... if you invested $1,000 at the time of our recommendation, you\\u2019d have $760,130!*\\n\\nStock Advisor provides investors with an easy-to-follow blueprint for success, including guidance on building a portfolio, regular updates from analysts, and two new stock picks each month. TheStock Advisorservice has more than quadrupled the return of S\u0026P 500 since 2002*.\\n\\nSee the 10 stocks \\u00bb\\n\\n*Stock Advisor returns as of September 23, 2024\\n\\nJohn Mackey, former CEO of Whole Foods Market, an Amazon subsidiary, is a member of The Motley Fool\u0027s board of directors. Jennifer Saibil has no position in any of the stocks mentioned. Jeremy Bowman has positions in Amazon and Starbucks. John Ballard has positions in Dutch Bros. The Motley Fool has positions in and recommends Amazon, Celsius, Monster Beverage, Starbucks, and e.l.f. Beauty. The Motley Fool recommends Dutch Bros. The Motley Fool has a disclosure policy.\\n\\n3 Monster Stocks That Can Crush the S\u0026P 500 Over the Next 5 Years was originally published by The Motley Fool\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/3-monster-stocks-crush-p-120000052.html\u0022,\u0022symbols\u0022:[\u0022BROS.US\u0022,\u0022CELH.US\u0022,\u0022ELF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.04,\u0022neu\u0022:0.742,\u0022pos\u0022:0.217},\u0022time_elapsed_date\u0022:\u00224 days ago\u0022},{\u0022date\u0022:\u00222024-09-23T13:00:16+00:00\u0022,\u0022title\u0022:\u0022e.l.f. Beauty (ELF) is Attracting Investor Attention: Here is What You Should Know\u0022,\u0022content\u0022:\u0022e.l.f. Beauty (ELF) has been one of the most searched-for stocks on Zacks.com lately. So, you might want to look at some of the facts that could shape the stock\u0027s performance in the near term.\\n\\nOver the past month, shares of this cosmetics company have returned -34%, compared to the Zacks S\u0026P 500 composite\u0027s +2% change. During this period, the Zacks Cosmetics industry, which e.l.f. Beauty falls in, has lost 8.6%. The key question now is: What could be the stock\u0027s future direction?\\n\\nWhile media releases or rumors about a substantial change in a company\u0027s business prospects usually make its stock \u0027trending\u0027 and lead to an immediate price change, there are always some fundamental facts that eventually dominate the buy-and-hold decision-making.\\n\\nRevisions to Earnings Estimates\\n\\nRather than focusing on anything else, we at Zacks prioritize evaluating the change in a company\u0027s earnings projection. This is because we believe the fair value for its stock is determined by the present value of its future stream of earnings.\\n\\nOur analysis is essentially based on how sell-side analysts covering the stock are revising their earnings estimates to take the latest business trends into account. When earnings estimates for a company go up, the fair value for its stock goes up as well. And when a stock\u0027s fair value is higher than its current market price, investors tend to buy the stock, resulting in its price moving upward. Because of this, empirical studies indicate a strong correlation between trends in earnings estimate revisions and short-term stock price movements.\\n\\nFor the current quarter, e.l.f. Beauty is expected to post earnings of $0.47 per share, indicating a change of -42.7% from the year-ago quarter. The Zacks Consensus Estimate has changed +0.4% over the last 30 days.\\n\\nFor the current fiscal year, the consensus earnings estimate of $3.53 points to a change of +11% from the prior year. Over the last 30 days, this estimate has remained unchanged.\\n\\nFor the next fiscal year, the consensus earnings estimate of $4.47 indicates a change of +26.6% from what e.l.f. Beauty is expected to report a year ago. Over the past month, the estimate has changed -0.2%.\\n\\nHaving a strong externally audited track record, our proprietary stock rating tool, the Zacks Rank, offers a more conclusive picture of a stock\u0027s price direction in the near term, since it effectively harnesses the power of earnings estimate revisions. Due to the size of the recent change in the consensus estimate, along with three other factors related to earnings estimates, e.l.f. Beauty is rated Zacks Rank #3 (Hold).\\n\\nStory continues\\n\\nThe chart below shows the evolution of the company\u0027s forward 12-month consensus EPS estimate:\\n\\n12 Month EPS\\n\\nRevenue Growth Forecast\\n\\nEven though a company\u0027s earnings growth is arguably the best indicator of its financial health, nothing much happens if it cannot raise its revenues. It\u0027s almost impossible for a company to grow its earnings without growing its revenue for long periods. Therefore, knowing a company\u0027s potential revenue growth is crucial.\\n\\nIn the case of e.l.f. Beauty, the consensus sales estimate of $291.3 million for the current quarter points to a year-over-year change of +35.2%. The $1.32 billion and $1.57 billion estimates for the current and next fiscal years indicate changes of +29.2% and +18.6%, respectively.\\n\\nLast Reported Results and Surprise History\\n\\ne.l.f. Beauty reported revenues of $324.48 million in the last reported quarter, representing a year-over-year change of +50%. EPS of $1.10 for the same period compares with $1.10 a year ago.\\n\\nCompared to the Zacks Consensus Estimate of $303.6 million, the reported revenues represent a surprise of +6.88%. The EPS surprise was +32.53%.\\n\\nThe company beat consensus EPS estimates in each of the trailing four quarters. The company topped consensus revenue estimates each time over this period.\\n\\nValuation\\n\\nNo investment decision can be efficient without considering a stock\u0027s valuation. Whether a stock\u0027s current price rightly reflects the intrinsic value of the underlying business and the company\u0027s growth prospects is an essential determinant of its future price performance.\\n\\nComparing the current value of a company\u0027s valuation multiples, such as its price-to-earnings (P\\\/E), price-to-sales (P\\\/S), and price-to-cash flow (P\\\/CF), to its own historical values helps ascertain whether its stock is fairly valued, overvalued, or undervalued, whereas comparing the company relative to its peers on these parameters gives a good sense of how reasonable its stock price is.\\n\\nAs part of the Zacks Style Scores system, the Zacks Value Style Score (which evaluates both traditional and unconventional valuation metrics) organizes stocks into five groups ranging from A to F (A is better than B; B is better than C; and so on), making it helpful in identifying whether a stock is overvalued, rightly valued, or temporarily undervalued.\\n\\ne.l.f. Beauty is graded F on this front, indicating that it is trading at a premium to its peers. Click here to see the values of some of the valuation metrics that have driven this grade.\\n\\nConclusion\\n\\nThe facts discussed here and much other information on Zacks.com might help determine whether or not it\u0027s worthwhile paying attention to the market buzz about e.l.f. Beauty. However, its Zacks Rank #3 does suggest that it may perform in line with the broader market in the near term.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\ne.l.f. Beauty (ELF) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/e-l-f-beauty-elf-130016815.html\u0022,\u0022symbols\u0022:[\u00220EF.STU\u0022,\u0022ELF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.011,\u0022neu\u0022:0.834,\u0022pos\u0022:0.155},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022},{\u0022date\u0022:\u00222024-09-19T14:13:00+00:00\u0022,\u0022title\u0022:\u0022Is e.l.f. Beauty Stock a Buy, Sell or Hold at a P\\\/E Multiple of 28.8X?\u0022,\u0022content\u0022:\u0022e.l.f. Beauty, Inc. ELF is currently trading at a forward 12-month price-to-earnings (P\\\/E) ratio of 28.83, higher than the industry average of 22.65 and the S\u0026P 500\\u2019s 21.55. This inflated valuation suggests that the market is pricing in high growth expectations, but it also raises questions about whether the company can deliver results that justify such a premium. ELF\u0027s Value Score of F adds to these concerns. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nShares of e.l.f. Beauty have plummeted 45.2% in the past three months compared with the industry\\u2019s decline of 23.4%. The cosmetic and skin care product company trailed the broader Zacks Consumer Staples sector and the S\u0026P 500\u0027s respective growth of 8.4% and 2.6% during the same period. ELF is also trading below its 50 and 200-day moving averages, indicating potential weakness in the stock\u0027s momentum. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nWhile a high valuation and the stock\u0027s recent underperformance suggest caution, the company\u0027s strong brand and long-term growth prospects may still appeal to investors.\\n\\nCurrent Pressures on e.l.f. Beauty\\n\\nDespite its strong market position, ELF faces significant competition from major players like The Estee Lauder Companies EL and Coty COTY. The beauty industry, particularly in the color cosmetics and skincare segments, remains highly competitive. e.l.f. Beauty\u0027s expansion into new categories like foundation, where its share remains less than 2%, indicates that it still underperforms in crucial categories. Competing against both mass-market and prestige brands that dominate this space could hinder faster growth.\\r\\n\\r\\nWith broader economic uncertainties looming, including inflationary pressures and soft consumer spending, e.l.f. Beauty could face headwinds from a weaker retail environment. If consumers cut back on discretionary spending, beauty products, particularly in the color cosmetics segment, might experience slower sales growth. While e.l.f. offers value-oriented products, the prolonged economic uncertainty could still dampen overall demand.\\r\\n\\r\\nOn its first-quarter fiscal 2025 earnings call, e.l.f. Beauty stated that its second-quarter performance is expected to face strong comparisons from the previous year. The gross margin for the second quarter is expected to remain stable compared to the previous year due to the timing of retailer activities and costs associated with space expansion.\\r\\n\\r\\nELF plans to increase its marketing and digital investments in the second quarter, with expenditures projected to rise from approximately 21% of net sales last year to a higher level. This increase is part of e.l.f. Beauty\u0027s strategy to boost growth through enhanced brand visibility and digital engagement. \\r\\n\\r\\nHowever, this additional spending is likely to impact the adjusted EBITDA margin, which may be constrained to the low teens for the second quarter. Significant margin improvements are only anticipated to materialize in the latter half of the fiscal year as marketing expenses normalize and the Naturium acquisition completes a year in October.\\n\\nStory continues\\n\\ne.l.f. Beauty\\u2019s Estimates: What\\u2019s on the Horizon?\\n\\nThe Zacks Consensus Estimate for EPS has seen downward revisions. Over the past 30 days, analysts have lowered their estimates for the current and next fiscal year by a penny each to $3.53 per share and $4.47, respectively. This downward adjustment reflects a negative sentiment among analysts and suggests potential challenges in achieving projected profitability. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nCan Growth Initiatives Turn the Tide for ELF?\\n\\ne.l.f. Beauty has earned a solid reputation for delivering exceptional sales and market share growth consistently. In the first quarter of fiscal 2025, the company reported a 50% rise in net sales, marking its 22nd consecutive quarter of sales and market share expansion. This success is attributed to its innovative product lineup, effective distribution channels, strategic marketing and keen understanding of consumer trends.\\r\\n\\r\\nA major driver of e.l.f. Beauty\\u2019s growth is its commitment to innovation. The company has secured leading positions in color cosmetics, holding the top or second spot in 18 categories, which account for more than 80% of its cosmetics sales. Recent product launches, such as the Soft Glam Satin Foundation and new Naturium offerings, have garnered strong sales and positive consumer feedback, highlighting the effectiveness of its innovation-driven approach.\\r\\n\\r\\ne.l.f. Beauty is actively expanding its retail presence and distribution channels to enhance brand visibility and accessibility. Strategic partnerships with major retailers like Target TGT and Ulta Beauty have secured prime shelf space in key markets. At Target, e.l.f. Beauty has been the top brand for six consecutive quarters, with its market share rising from 13% to more than 20%. By diversifying its retail channels, the company aims to strengthen its market position and reach a broader customer base.\\r\\n\\r\\nRecognizing the surge in online shopping, e.l.f. Beauty has invested heavily in improving its digital and e-commerce platforms. The company is enhancing its website experience, optimizing mobile interfaces and deploying digital marketing strategies to boost online sales and customer engagement. These efforts are crucial for expanding its reach and driving growth in the competitive digital beauty landscape.\\r\\n\\r\\ne.l.f. Beauty\u0027s focus on streamlining operations, optimizing the supply chain and managing costs has played a significant role in its growth trajectory. These initiatives have enabled the company to maintain robust margins despite broader economic challenges.\\n\\nInvestor Strategy for e.l.f. Beauty\\n\\ne.l.f. Beauty\u0027s elevated valuation and recent underperformance relative to peers are concerning. The company is contending with significant industry competition and fluctuating consumer spending. Although increased marketing and digital investments might pressure short-term margins, they could pave the way for future growth. With a solid track record of growth, innovative products and strategic expansions, e.l.f. Beauty shows potential for long-term success. Current investors should retain their positions in ELF stock, while new investors might wait for a more favorable entry point.\\r\\n\\r\\ne.l.f. Beauty currently carries a Zacks Rank #3 (Hold). You can see the complete list of today\\u2019s Zacks #1 Rank (Strong Buy) stocks here.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\nTarget Corporation (TGT) : Free Stock Analysis Report\\n\\nThe Estee Lauder Companies Inc. (EL) : Free Stock Analysis Report\\n\\nCoty (COTY) : Free Stock Analysis Report\\n\\ne.l.f. Beauty (ELF) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/e-l-f-beauty-stock-141300906.html\u0022,\u0022symbols\u0022:[\u00220EF.STU\u0022,\u0022ELF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.038,\u0022neu\u0022:0.697,\u0022pos\u0022:0.265},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-10-30\u0022,\u0022exception\u0022:null}"},{"id":1752,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022HIMS\u0022,\u0022stockName\u0022:\u0022Hims Hers Health Inc\u0022,\u0022stockExchange\u0022:\u0022US\u0022,\u0022duration\u0022:\u0022-1 year\u0022,\u0022lastCloseVal\u0022:18.95,\u0022terms\u0022:[\u0022Hims\u0022],\u0022srcData\u0022:{\u0022data\u0022:[{\u0022date\u0022:\u00222023-10-03 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00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:18.95,\u0022Hims\u0022:72}],\u0022maxVal\u0022:24.79,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u0022HIMS\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022Hims Hers Health Inc\u0022,\u0022Exchange\u0022:\u0022NYSE\u0022,\u0022CurrencyCode\u0022:\u0022USD\u0022,\u0022CurrencyName\u0022:\u0022US Dollar\u0022,\u0022CurrencySymbol\u0022:\u0022$\u0022,\u0022CountryName\u0022:\u0022USA\u0022,\u0022CountryISO\u0022:\u0022US\u0022,\u0022OpenFigi\u0022:\u0022BBG00Q53VYM7\u0022,\u0022ISIN\u0022:\u0022US4330001060\u0022,\u0022LEI\u0022:\u0022549300ZQ4ZUYSAAX6P59\u0022,\u0022PrimaryTicker\u0022:\u0022HIMS.US\u0022,\u0022CUSIP\u0022:null,\u0022CIK\u0022:\u00221773751\u0022,\u0022EmployerIdNumber\u0022:null,\u0022FiscalYearEnd\u0022:\u0022December\u0022,\u0022IPODate\u0022:\u00222019-09-13\u0022,\u0022InternationalDomestic\u0022:null,\u0022Sector\u0022:\u0022Consumer Defensive\u0022,\u0022Industry\u0022:\u0022Household \u0026 Personal Products\u0022,\u0022GicSector\u0022:\u0022Health Care\u0022,\u0022GicGroup\u0022:\u0022Health Care Equipment \u0026 Services\u0022,\u0022GicIndustry\u0022:\u0022Health Care Providers \u0026 Services\u0022,\u0022GicSubIndustry\u0022:\u0022Health Care Services\u0022,\u0022HomeCategory\u0022:null,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022Hims \u0026 Hers Health, Inc. operates a telehealth platform that connects consumers to licensed healthcare professionals in the United States, the United Kingdom, and internationally. The company offers a range of curated prescription and non-prescription health and wellness products and services available to purchase on its websites and mobile application directly by customers. It also provides prescription medication on a recurring basis and ongoing care from healthcare providers; and over-the-counter drug and device products, cosmetics, and supplement products primarily focusing on general wellness, sexual health and wellness, skincare, and hair care. In addition, the company\u0027s curated non-prescription products include melatonin and biotin in the wellness specialty category; moisturizers, creams, sunscreen, serum, face oil, and face wash in the skincare specialty; condoms, climax delay spray and wipes, vibrators, and lubricants in the sexual health and wellness specialty; and shampoos, conditioners, scalp scrubs, and topical treatments, such as minoxidil in the hair care specialty category. Further, it offers medical consultation and post-consultation support services, as well as health and wellness products through wholesale partners. Hims \u0026 Hers Health, Inc. is based in San Francisco, California.\u0022,\u0022Address\u0022:\u00222269 Chestnut Street, San Francisco, CA, United States, 94123\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u00222269 Chestnut Street\u0022,\u0022City\u0022:\u0022San Francisco\u0022,\u0022State\u0022:\u0022CA\u0022,\u0022Country\u0022:\u0022United States\u0022,\u0022ZIP\u0022:\u002294123\u0022},\u0022Listings\u0022:[],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Andrew Dudum\u0022,\u0022Title\u0022:\u0022Co-Founder, Chairman \u0026 CEO\u0022,\u0022YearBorn\u0022:\u00221989\u0022},{\u0022Name\u0022:\u0022Mr. Yemi Okupe\u0022,\u0022Title\u0022:\u0022Chief Financial Officer\u0022,\u0022YearBorn\u0022:\u00221986\u0022},{\u0022Name\u0022:\u0022Ms. Melissa Baird\u0022,\u0022Title\u0022:\u0022Chief Operating Officer\u0022,\u0022YearBorn\u0022:\u00221978\u0022},{\u0022Name\u0022:\u0022Ms. Soleil Teubner Boughton\u0022,\u0022Title\u0022:\u0022Chief Legal Officer \u0026 Corporate Secretary\u0022,\u0022YearBorn\u0022:\u00221979\u0022},{\u0022Name\u0022:\u0022Dr. Patrick Carroll M.D.\u0022,\u0022Title\u0022:\u0022Chief Medical Officer, Member of Medical Advisory Board \u0026 Director\u0022,\u0022YearBorn\u0022:\u00221958\u0022},{\u0022Name\u0022:\u0022Mr. Mike Chi\u0022,\u0022Title\u0022:\u0022Chief Commercial Officer\u0022,\u0022YearBorn\u0022:\u00221980\u0022},{\u0022Name\u0022:\u0022Ms. Irene A. 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0195\u0022,\u0022WebURL\u0022:\u0022https:\\\/\\\/www.forhims.com\u0022,\u0022LogoURL\u0022:\u0022\u0022,\u0022FullTimeEmployees\u0022:1046,\u0022UpdatedAt\u0022:\u00222024-10-02\u0022},\u0022Highlights\u0022:{\u0022MarketCapitalization\u0022:4179572224,\u0022MarketCapitalizationMln\u0022:4179.5722,\u0022EBITDA\u0022:26789000,\u0022PERatio\u0022:241.375,\u0022PEGRatio\u0022:null,\u0022WallStreetTargetPrice\u0022:21.93,\u0022BookValue\u0022:1.67,\u0022DividendShare\u0022:null,\u0022DividendYield\u0022:null,\u0022EarningsShare\u0022:0.08,\u0022EPSEstimateCurrentYear\u0022:0.22,\u0022EPSEstimateNextYear\u0022:0.37,\u0022EPSEstimateNextQuarter\u0022:0.04,\u0022EPSEstimateCurrentQuarter\u0022:0.04,\u0022MostRecentQuarter\u0022:\u00222024-06-30\u0022,\u0022ProfitMargin\u0022:0.017,\u0022OperatingMarginTTM\u0022:0.0349,\u0022ReturnOnAssetsTTM\u0022:0.0217,\u0022ReturnOnEquityTTM\u0022:0.0531,\u0022RevenueTTM\u0022:1067137024,\u0022RevenuePerShareTTM\u0022:5.023,\u0022QuarterlyRevenueGrowthYOY\u0022:0.518,\u0022GrossProfitTTM\u0022:408722000,\u0022DilutedEpsTTM\u0022:0.08,\u0022QuarterlyEarningsGrowthYOY\u0022:0},\u0022Valuation\u0022:{\u0022TrailingPE\u0022:241.375,\u0022ForwardPE\u0022:45.8716,\u0022PriceSalesTTM\u0022:3.9166,\u0022PriceBookMRQ\u0022:11.5469,\u0022EnterpriseValue\u0022:3963760029,\u0022EnterpriseValueRevenue\u0022:3.7144,\u0022EnterpriseValueEbitda\u0022:167.6434},\u0022SharesStats\u0022:{\u0022SharesOutstanding\u0022:208068992,\u0022SharesFloat\u0022:187177120,\u0022PercentInsiders\u0022:11.93,\u0022PercentInstitutions\u0022:66.675,\u0022SharesShort\u0022:null,\u0022SharesShortPriorMonth\u0022:null,\u0022ShortRatio\u0022:null,\u0022ShortPercentOutstanding\u0022:null,\u0022ShortPercentFloat\u0022:0.1399},\u0022Technicals\u0022:{\u0022Beta\u0022:1.051,\u002252WeekHigh\u0022:25.74,\u002252WeekLow\u0022:5.65,\u002250DayMA\u0022:16.9812,\u0022200DayMA\u0022:14.9842,\u0022SharesShort\u0022:26537491,\u0022SharesShortPriorMonth\u0022:23042592,\u0022ShortRatio\u0022:3.72,\u0022ShortPercent\u0022:0.1399},\u0022SplitsDividends\u0022:{\u0022ForwardAnnualDividendRate\u0022:0,\u0022ForwardAnnualDividendYield\u0022:0,\u0022PayoutRatio\u0022:0,\u0022DividendDate\u0022:null,\u0022ExDividendDate\u0022:null,\u0022LastSplitFactor\u0022:\u0022\u0022,\u0022LastSplitDate\u0022:\u00220000-00-00\u0022,\u0022NumberDividendsByYear\u0022:[]},\u0022AnalystRatings\u0022:{\u0022Rating\u0022:3.7857,\u0022TargetPrice\u0022:12.3,\u0022StrongBuy\u0022:5,\u0022Buy\u0022:1,\u0022Hold\u0022:8,\u0022Sell\u0022:0,\u0022StrongSell\u0022:0},\u0022Holders\u0022:{\u0022Institutions\u0022:[{\u0022name\u0022:\u0022Vanguard 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US Growth Companies With High Insider Ownership\u0022,\u0022content\u0022:\u0022In a volatile market where major indices have recently pulled back from record highs due to Big Tech declines and geopolitical tensions, investors are increasingly looking for stable growth opportunities. One key indicator of potential stability and confidence is high insider ownership, as it often aligns the interests of company leaders with those of shareholders.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Super Micro Computer (NasdaqGS:SMCI) 2.6% 28.0% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 41.3% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 187 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nUnderneath we present a selection of stocks filtered out by our screen.\\n\\nCommunity West Bancshares\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: Community West Bancshares, with a market cap of $364.80 million, operates as the bank holding company for Central Valley Community Bank, offering commercial banking services to small and middle-market businesses and individuals in California\u0027s central valley.\\n\\nOperations: Community West Bancshares generates $85.23 million from its banking operations, primarily serving small and middle-market businesses and individuals in California\u0027s central valley.\\n\\nInsider Ownership: 11.9%\\n\\nEarnings Growth Forecast: 102.8% p.a.\\n\\nCommunity West Bancshares shows substantial insider ownership and has seen more shares bought than sold by insiders in the past three months. Despite trading at 38.8% below its estimated fair value, the company faces challenges with a recent net loss of US$6.29 million and significant dilution over the past year. However, analysts forecast strong revenue growth of 31.8% per year and earnings growth of 102.82% annually, outpacing market expectations significantly.\\n\\nDive into the specifics of Community West Bancshares here with our thorough growth forecast report. Insights from our recent valuation report point to the potential undervaluation of Community West Bancshares shares in the market. NasdaqCM:CWBC Ownership Breakdown as at Oct 2024\\n\\nProficient Auto Logistics\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: Proficient Auto Logistics, Inc. specializes in auto transportation and logistics services across North America with a market cap of $383.29 million.\\n\\nStory continues\\n\\nOperations: Proficient Auto Logistics generates revenue through its auto transportation and logistics services within North America.\\n\\nInsider Ownership: 24.8%\\n\\nEarnings Growth Forecast: 64.7% p.a.\\n\\nProficient Auto Logistics, recently added to the S\u0026P Global BMI Index, demonstrates strong growth potential with insiders significantly buying more shares than selling in the past three months. The company is forecast to become profitable within three years and expects revenue growth of 56.7% annually, far exceeding market averages. Despite trading at 72.5% below its estimated fair value, analysts agree on a potential stock price increase of 58%.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of Proficient Auto Logistics. Our expertly prepared valuation report Proficient Auto Logistics implies its share price may be lower than expected. NasdaqGS:PAL Earnings and Revenue Growth as at Oct 2024\\n\\nAltice USA\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Altice USA, Inc., with a market cap of $1.59 billion, provides broadband communications and video services across the United States, Canada, Puerto Rico, and the Virgin Islands.\\n\\nOperations: The company\u0027s revenue segments include Cable TV Services, which generated $9.11 billion.\\n\\nInsider Ownership: 36.5%\\n\\nEarnings Growth Forecast: 49.5% p.a.\\n\\nAltice USA is expected to become profitable within three years, with a very high forecasted return on equity of 113.9%. However, revenue is projected to decline by 1.8% annually over the same period. The stock trades at 83.4% below its estimated fair value and offers good relative value compared to peers. Recent earnings reports show declining sales and net income, with a net loss reported for the first half of 2024.\\n\\nUnlock comprehensive insights into our analysis of Altice USA stock in this growth report. The analysis detailed in our Altice USA valuation report hints at an deflated share price compared to its estimated value. NYSE:ATUS Earnings and Revenue Growth as at Oct 2024\\n\\nMake It Happen\\n\\nGain an insight into the universe of 187 Fast Growing US Companies With High Insider Ownership by clicking here. Are you invested in these stocks already? Keep abreast of every twist and turn by setting up a portfolio with Simply Wall St, where we make it simple for investors like you to stay informed and proactive. Discover a world of investment opportunities with Simply Wall St\u0027s free app and access unparalleled stock analysis across all markets.\\n\\nReady To Venture Into Other Investment Styles?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqCM:CWBCNasdaqGS:PAL and NYSE:ATUS.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/3-us-growth-companies-high-110630612.html\u0022,\u0022symbols\u0022:[\u002215PA.STU\u0022,\u0022AESI.US\u0022,\u0022HIMS.US\u0022,\u0022TBBB.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.02,\u0022neu\u0022:0.822,\u0022pos\u0022:0.158},\u0022time_elapsed_date\u0022:\u002217 hours ago\u0022},{\u0022date\u0022:\u00222024-10-01T19:31:32+00:00\u0022,\u0022title\u0022:\u0022US Growth Companies With Insider Ownership Up To 29%\u0022,\u0022content\u0022:\u0022Amid recent fluctuations in major U.S. indices and rising oil prices due to Middle East tensions, investors are seeking stability and growth potential in the market. One promising avenue is growth companies with high insider ownership, which often signals strong confidence from those closest to the business.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Super Micro Computer (NasdaqGS:SMCI) 25.7% 28.0% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 40.7% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 185 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nHere we highlight a subset of our preferred stocks from the screener.\\n\\nAlphatec Holdings\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Alphatec Holdings, Inc. is a medical technology company that designs, develops, and advances technologies for the surgical treatment of spinal disorders in the United States and internationally, with a market cap of $780.96 million.\\n\\nOperations: The company generates revenue primarily from its medical products segment, which reported $540.28 million.\\n\\nInsider Ownership: 12.3%\\n\\nAlphatec Holdings has seen substantial insider buying over the past three months, reflecting confidence in its growth trajectory. The company is expected to become profitable within three years and its revenue growth rate of 16.4% per year outpaces the broader US market. Recent strategic moves include appointing industry veteran Keith Valentine to the Board and launching EOS Insight, an advanced AI-driven spine surgery platform, enhancing clinical decision-making and operational efficiency.\\n\\nClick to explore a detailed breakdown of our findings in Alphatec Holdings\u0027 earnings growth report. Our expertly prepared valuation report Alphatec Holdings implies its share price may be lower than expected. NasdaqGS:ATEC Earnings and Revenue Growth as at Oct 2024\\n\\nFirstSun Capital Bancorp\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: FirstSun Capital Bancorp, with a market cap of $1.18 billion, operates as a bank holding company for Sunflower Bank, offering commercial and consumer banking and financial services to small and medium-sized businesses in Texas, Kansas, Colorado, New Mexico, and Arizona.\\n\\nOperations: FirstSun Capital Bancorp generates revenue primarily from its Banking segment ($302.74 million) and Mortgage Operations ($45.19 million).\\n\\nStory continues\\n\\nInsider Ownership: 29.9%\\n\\nFirstSun Capital Bancorp, recently added to the NASDAQ Composite and S\u0026P TMI Index, is forecast to grow earnings at 60.5% per year, significantly outpacing the US market. Despite a slight decline in net income for Q2 2024 compared to last year, its revenue growth rate of 32.5% per year remains robust. Trading below its fair value estimate enhances its appeal as a growth investment with substantial insider ownership.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of FirstSun Capital Bancorp. The analysis detailed in our FirstSun Capital Bancorp valuation report hints at an inflated share price compared to its estimated value. NasdaqGS:FSUN Ownership Breakdown as at Oct 2024\\n\\nPeapack-Gladstone Financial\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Peapack-Gladstone Financial Corporation, with a market cap of $471.01 million, operates as the bank holding company for Peapack-Gladstone Bank, offering private banking and wealth management services in the United States.\\n\\nOperations: The company\u0027s revenue segments include $142.34 million from Banking and $62.05 million from Peapack Private services.\\n\\nInsider Ownership: 10.5%\\n\\nPeapack-Gladstone Financial Corporation, with significant insider ownership, is forecast to grow earnings at 20.5% per year, outpacing the US market. Despite a decline in Q2 2024 net income compared to last year, its revenue growth rate of 15.7% per year remains strong. Recent leadership changes and a $150 million shelf registration filing indicate strategic initiatives for future growth. Trading significantly below fair value enhances its appeal as a growth investment.\\n\\nUnlock comprehensive insights into our analysis of Peapack-Gladstone Financial stock in this growth report. The analysis detailed in our Peapack-Gladstone Financial valuation report hints at an deflated share price compared to its estimated value. NasdaqGS:PGC Earnings and Revenue Growth as at Oct 2024\\n\\nKey Takeaways\\n\\nDelve into our full catalog of 185 Fast Growing US Companies With High Insider Ownership here. Are you invested in these stocks already? Keep abreast of every twist and turn by setting up a portfolio with Simply Wall St, where we make it simple for investors like you to stay informed and proactive. Invest smarter with the free Simply Wall St app providing detailed insights into every stock market around the globe.\\n\\nContemplating Other Strategies?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqGS:ATECNasdaqGS:FSUN and NasdaqGS:PGC.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/us-growth-companies-insider-ownership-193132861.html\u0022,\u0022symbols\u0022:[\u0022AESI.US\u0022,\u0022ATEC.US\u0022,\u0022HIMS.US\u0022,\u0022L1Z1.F\u0022,\u0022TBBB.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.011,\u0022neu\u0022:0.834,\u0022pos\u0022:0.155},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-10-01T11:02:36+00:00\u0022,\u0022title\u0022:\u0022Top US Growth Stocks With High Insider Ownership For October 2024\u0022,\u0022content\u0022:\u0022As of September 30, 2024, the U.S. stock market has capped off a strong month and quarter, with the S\u0026P 500 and Dow Jones Industrial Average reaching record highs. Investors are increasingly confident in a soft economic landing and potential interest rate cuts by the Federal Reserve. In this favorable market environment, growth companies with high insider ownership can offer compelling investment opportunities due to their alignment of interests between management and shareholders.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Super Micro Computer (NasdaqGS:SMCI) 25.7% 28.0% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 40.7% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 185 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nUnderneath we present a selection of stocks filtered out by our screen.\\n\\nLi Auto\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Li Auto Inc. operates in the energy vehicle market in the People\\u2019s Republic of China and has a market cap of $25.72 billion.\\n\\nOperations: Li Auto\u0027s revenue from the Auto Manufacturers segment is CN\\u00a5133.72 billion.\\n\\nInsider Ownership: 31.1%\\n\\nEarnings Growth Forecast: 23.1% p.a.\\n\\nLi Auto has demonstrated significant growth with vehicle deliveries increasing by 48.9% year over year in September 2024, totaling 341,812 vehicles for the year to date. Its earnings are forecasted to grow at 23.1% annually, outpacing the US market average of 15.2%. Despite trading at a valuation below its estimated fair value and having substantial insider ownership, Li Auto\u0027s revenue growth is expected to be slightly below 20% per year.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of Li Auto. The valuation report we\u0027ve compiled suggests that Li Auto\u0027s current price could be quite moderate. NasdaqGS:LI Earnings and Revenue Growth as at Oct 2024\\n\\nEst\\u00e9e Lauder Companies\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: The Est\\u00e9e Lauder Companies Inc. manufactures, markets, and sells skin care, makeup, fragrance, and hair care products worldwide with a market cap of approximately $35.83 billion.\\n\\nOperations: The company\u0027s revenue segments include Skin Care ($7.91 billion), Makeup ($4.47 billion), Fragrance ($2.49 billion), and Hair Care ($629 million).\\n\\nStory continues\\n\\nInsider Ownership: 12.8%\\n\\nEarnings Growth Forecast: 28.1% p.a.\\n\\nEst\\u00e9e Lauder Companies, with substantial insider ownership, is navigating leadership transitions while focusing on strategic growth. Despite a challenging fiscal year with sales of US$15.61 billion and net income dropping to US$390 million, earnings are forecasted to grow at 28.06% annually over the next three years. The company\u0027s revenue growth is expected to lag behind the market at 4% per year, but its return on equity is projected to reach 30.3%, indicating strong future profitability potential despite current financial hurdles and high debt levels.\\n\\nUnlock comprehensive insights into our analysis of Est\\u00e9e Lauder Companies stock in this growth report. Our expertly prepared valuation report Est\\u00e9e Lauder Companies implies its share price may be too high. NYSE:EL Ownership Breakdown as at Oct 2024\\n\\nTETRA Technologies\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: TETRA Technologies, Inc., with a market cap of $381.20 million, operates as an energy services and solutions company through its subsidiaries.\\n\\nOperations: The company\u0027s revenue segments include Water \u0026 Flowback Services, generating $304.43 million, and Completion Fluids \u0026 Products, contributing $323.07 million.\\n\\nInsider Ownership: 10.3%\\n\\nEarnings Growth Forecast: 48.2% p.a.\\n\\nTETRA Technologies, with significant insider ownership, is experiencing leadership changes as Richard D. O\\u2019Brien resigns and Elijio V. Serrano takes on additional responsibilities. Despite a decline in net income to US$7.64 million for Q2 2024 from US$18.22 million a year ago, the company\u0027s earnings are forecasted to grow at 48.21% annually over the next three years, outpacing the market\u0027s growth rate of 15.2%. However, profit margins have decreased and interest payments remain poorly covered by earnings.\\n\\nTake a closer look at TETRA Technologies\u0027 potential here in our earnings growth report. Insights from our recent valuation report point to the potential undervaluation of TETRA Technologies shares in the market. NYSE:TTI Ownership Breakdown as at Oct 2024\\n\\nSumming It All Up\\n\\nReveal the 185 hidden gems among our Fast Growing US Companies With High Insider Ownership screener with a single click here. Already own these companies? Link your portfolio to Simply Wall St and get alerts on any new warning signs to your stocks. Discover a world of investment opportunities with Simply Wall St\u0027s free app and access unparalleled stock analysis across all markets.\\n\\nReady For A Different Approach?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqGS:LINYSE:EL and NYSE:TTI.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/top-us-growth-stocks-high-110236876.html\u0022,\u0022symbols\u0022:[\u00222015.HK\u0022,\u0022AESI.US\u0022,\u0022EL.US\u0022,\u0022ELAA.BE\u0022,\u0022ELAA.DU\u0022,\u0022ELAA.F\u0022,\u0022ELAA.MU\u0022,\u0022ELAA.STU\u0022,\u0022ELCI34.SA\u0022,\u0022ESLA.VI\u0022,\u0022HIMS.US\u0022,\u0022L87A.F\u0022,\u0022LI.US\u0022,\u0022TBBB.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.018,\u0022neu\u0022:0.84,\u0022pos\u0022:0.142},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-09-30T19:31:31+00:00\u0022,\u0022title\u0022:\u0022Top US Growth Companies With High Insider Ownership For September 2024\u0022,\u0022content\u0022:\u0022As the U.S. stock market navigates a period of mixed performance and cautious optimism amid Federal Reserve rate decisions, investors are increasingly seeking companies with solid growth prospects and strong insider ownership. High insider ownership often signals confidence from those closest to the company, making these stocks particularly attractive in uncertain economic climates.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Super Micro Computer (NasdaqGS:SMCI) 25.7% 28.0% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 40.7% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 184 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nHere\u0027s a peek at a few of the choices from the screener.\\n\\nCalifornia BanCorp\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: California BanCorp, with a market cap of $471.77M, operates as the holding company for Bank of Southern California, N.A., providing various banking services.\\n\\nOperations: California BanCorp\u0027s revenue from commercial banking amounts to $87.33 million.\\n\\nInsider Ownership: 16.8%\\n\\nReturn On Equity Forecast: N\\\/A (2027 estimate)\\n\\nCalifornia BanCorp, a growth company with high insider ownership, is forecast to achieve significant revenue and earnings growth, with earnings expected to grow 113.3% annually. Despite trading at 23.6% below its estimated fair value and analysts predicting a 25.9% price rise, the company has seen substantial shareholder dilution over the past year and no recent insider buying. Recent executive changes include Michele Wirfel\u0027s promotion to COO following a merger with Bank of Southern California in July 2024.\\n\\nDelve into the full analysis future growth report here for a deeper understanding of California BanCorp. According our valuation report, there\u0027s an indication that California BanCorp\u0027s share price might be on the cheaper side. NasdaqCM:BCAL Ownership Breakdown as at Sep 2024\\n\\nFrontier Group Holdings\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: Frontier Group Holdings, Inc. provides low-fare passenger airline services to leisure travelers in the United States and Latin America, with a market cap of $1.09 billion.\\n\\nOperations: Frontier Group Holdings generates $3.61 billion in revenue by offering air transportation services to passengers.\\n\\nStory continues\\n\\nInsider Ownership: 34.7%\\n\\nReturn On Equity Forecast: 31% (2027 estimate)\\n\\nFrontier Group Holdings is demonstrating moderate revenue growth, with second-quarter 2024 revenue at US$973 million, slightly up from US$967 million a year ago. However, net income dropped to US$31 million from US$71 million. The company forecasts annual revenue growth of 12.1%, outpacing the overall market\u0027s 8.7%. Despite no recent insider trading activity, Frontier remains attractive due to its expected profitability within three years and high forecasted return on equity of 31.1%.\\n\\nTake a closer look at Frontier Group Holdings\u0027 potential here in our earnings growth report. Upon reviewing our latest valuation report, Frontier Group Holdings\u0027 share price might be too pessimistic. NasdaqGS:ULCC Ownership Breakdown as at Sep 2024\\n\\nAmerant Bancorp\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Amerant Bancorp Inc., with a market cap of $860.59 million, operates as the bank holding company for Amerant Bank, N.A.\\n\\nOperations: Amerant Bancorp Inc. generates $327.31 million in revenue from its banking segment.\\n\\nInsider Ownership: 9.9%\\n\\nReturn On Equity Forecast: N\\\/A (2027 estimate)\\n\\nAmerant Bancorp recently completed a $150.1 million follow-on equity offering, which may impact shareholder value due to dilution. Despite this, the company has high insider ownership and is forecasted to achieve significant annual earnings growth of 87.5% over the next three years, outpacing the US market\u0027s 15.2%. However, its profit margins have declined from 22.2% to 6.3%, and it faces challenges with unstable dividends and low allowance for bad loans at 94%.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of Amerant Bancorp. In light of our recent valuation report, it seems possible that Amerant Bancorp is trading beyond its estimated value. NYSE:AMTB Earnings and Revenue Growth as at Sep 2024\\n\\nTaking Advantage\\n\\nExplore the 184 names from our Fast Growing US Companies With High Insider Ownership screener here. Are any of these part of your asset mix? Tap into the analytical power of Simply Wall St\u0027s portfolio to get a 360-degree view on how they\u0027re shaping up. Unlock the power of informed investing with Simply Wall St, your free guide to navigating stock markets worldwide.\\n\\nReady To Venture Into Other Investment Styles?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqCM:BCALNasdaqGS:ULCC and NYSE:AMTB.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/top-us-growth-companies-high-193131980.html\u0022,\u0022symbols\u0022:[\u0022AESI.US\u0022,\u0022HIMS.US\u0022,\u0022TBBB.US\u0022,\u0022ULCC.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.021,\u0022neu\u0022:0.846,\u0022pos\u0022:0.134},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022},{\u0022date\u0022:\u00222024-09-30T11:05:39+00:00\u0022,\u0022title\u0022:\u0022Top US Growth Companies With High Insider Ownership In September 2024\u0022,\u0022content\u0022:\u0022As the Dow Jones Industrial Average reaches new highs and the S\u0026P 500 and Nasdaq Composite experience slight declines, investors are closely monitoring market movements influenced by inflation data and Federal Reserve policies. In this fluctuating environment, growth companies with high insider ownership can offer a unique advantage, as significant insider stakes often signal confidence in a company\u0027s long-term potential.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Super Micro Computer (NasdaqGS:SMCI) 25.7% 28.0% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 40.7% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 184 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nWe\u0027re going to check out a few of the best picks from our screener tool.\\n\\nEstablishment Labs Holdings\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: Establishment Labs Holdings Inc., with a market cap of $1.31 billion, is a medical technology company that manufactures and markets medical devices for aesthetic and reconstructive plastic surgery.\\n\\nOperations: The company generates $151.35 million from its medical products segment, focusing on devices for aesthetic and reconstructive plastic surgery.\\n\\nInsider Ownership: 10%\\n\\nEstablishment Labs Holdings has high insider ownership and is positioned for significant growth, with revenue expected to increase by 25.4% annually, outpacing the market\u0027s 8.7%. The recent FDA approval of its Motiva SmoothSilk implants represents a major milestone, enhancing its product portfolio. Despite recent losses and shareholder dilution over the past year, the company is forecasted to become profitable within three years. New leadership under President Fillipo Peter Caldini may further drive strategic growth initiatives.\\n\\nDelve into the full analysis future growth report here for a deeper understanding of Establishment Labs Holdings. In light of our recent valuation report, it seems possible that Establishment Labs Holdings is trading beyond its estimated value. NasdaqCM:ESTA Earnings and Revenue Growth as at Sep 2024\\n\\nBilibili\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Bilibili Inc. offers online entertainment services targeting young generations in China and has a market cap of $9.50 billion.\\n\\nStory continues\\n\\nOperations: The company generates CN\\u00a523.95 billion from its Internet Information Providers segment.\\n\\nInsider Ownership: 20.7%\\n\\nBilibili has significant insider ownership and is poised for growth, with revenue expected to increase by 11.7% annually, surpassing the US market\u0027s 8.7%. The company reported Q2 2024 revenue of CNY 6.13 billion, up from CNY 5.30 billion a year ago, and reduced its net loss to CNY 608.7 million from CNY 1.55 billion. Although Bilibili\u0027s share price has been highly volatile recently, it trades at a discount of approximately 22.9% below estimated fair value and is forecasted to become profitable within three years with earnings growing at an annual rate of over 80%.\\n\\nClick to explore a detailed breakdown of our findings in Bilibili\u0027s earnings growth report. The analysis detailed in our Bilibili valuation report hints at an deflated share price compared to its estimated value. NasdaqGS:BILI Earnings and Revenue Growth as at Sep 2024\\n\\nDuolingo\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2605\\n\\nOverview: Duolingo, Inc. operates as a mobile learning platform in the United States, the United Kingdom, and internationally with a market cap of $12.11 billion.\\n\\nOperations: Duolingo generates $634.49 million from its educational software segment.\\n\\nInsider Ownership: 14.7%\\n\\nDuolingo, with high insider ownership and no substantial insider selling recently, is experiencing rapid growth. The company reported Q2 2024 sales of US$178.33 million, up from US$126.84 million a year ago, and net income rose to US$24.35 million from US$3.73 million. Duolingo\u0027s earnings are forecast to grow significantly over the next three years at 41.6% annually, outpacing the market average of 15.2%. Recent partnerships like with Sony Music aim to enhance user engagement further.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of Duolingo. Our valuation report here indicates Duolingo may be overvalued. NasdaqGS:DUOL Ownership Breakdown as at Sep 2024\\n\\nSumming It All Up\\n\\nGet an in-depth perspective on all 184 Fast Growing US Companies With High Insider Ownership by using our screener here. Are these companies part of your investment strategy? Use Simply Wall St to consolidate your holdings into a portfolio and gain insights with our comprehensive analysis tools. Elevate your portfolio with Simply Wall St, the ultimate app for investors seeking global market coverage.\\n\\nReady For A Different Approach?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqCM:ESTANasdaqGS:BILI and NasdaqGS:DUOL.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/top-us-growth-companies-high-110539382.html\u0022,\u0022symbols\u0022:[\u002271BA.F\u0022,\u002271BA.STU\u0022,\u002271BB.F\u0022,\u00229626.HK\u0022,\u0022AESI.US\u0022,\u0022B1IL34.SA\u0022,\u0022BILI.US\u0022,\u0022BLBLF.US\u0022,\u0022DUOL.US\u0022,\u0022HIMS.US\u0022,\u0022TBBB.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.009,\u0022neu\u0022:0.847,\u0022pos\u0022:0.144},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-11-04\u0022,\u0022exception\u0022:null}"},{"id":1799,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022DUOL\u0022,\u0022stockName\u0022:\u0022Duolingo Inc\u0022,\u0022stockExchange\u0022:\u0022US\u0022,\u0022duration\u0022:\u0022-2 years\u0022,\u0022lastCloseVal\u0022:285.42,\u0022terms\u0022:[\u0022duolingo\u0022],\u0022srcData\u0022:{\u0022data\u0022:[{\u0022date\u0022:\u00222022-10-03 00:00:00\u0022,\u0022week\u0022:\u00222022-40\u0022,\u0022value\u0022:97,\u0022duolingo\u0022:71},{\u0022date\u0022:\u00222022-10-04 00:00:00\u0022,\u0022week\u0022:\u00222022-40\u0022,\u0022value\u0022:101.73,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-05 00:00:00\u0022,\u0022week\u0022:\u00222022-40\u0022,\u0022value\u0022:102.03,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-06 00:00:00\u0022,\u0022week\u0022:\u00222022-40\u0022,\u0022value\u0022:104.29,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-07 00:00:00\u0022,\u0022week\u0022:\u00222022-40\u0022,\u0022value\u0022:98.5,\u0022duolingo\u0022:71},{\u0022date\u0022:\u00222022-10-10 00:00:00\u0022,\u0022week\u0022:\u00222022-41\u0022,\u0022value\u0022:98.3,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-11 00:00:00\u0022,\u0022week\u0022:\u00222022-41\u0022,\u0022value\u0022:96.28,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-12 00:00:00\u0022,\u0022week\u0022:\u00222022-41\u0022,\u0022value\u0022:97.53,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-13 00:00:00\u0022,\u0022week\u0022:\u00222022-41\u0022,\u0022value\u0022:92.17,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-14 00:00:00\u0022,\u0022week\u0022:\u00222022-41\u0022,\u0022value\u0022:78.31,\u0022duolingo\u0022:71},{\u0022date\u0022:\u00222022-10-17 00:00:00\u0022,\u0022week\u0022:\u00222022-42\u0022,\u0022value\u0022:86.92,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-18 00:00:00\u0022,\u0022week\u0022:\u00222022-42\u0022,\u0022value\u0022:89.16,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-19 00:00:00\u0022,\u0022week\u0022:\u00222022-42\u0022,\u0022value\u0022:87.78,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-20 00:00:00\u0022,\u0022week\u0022:\u00222022-42\u0022,\u0022value\u0022:88.72,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-21 00:00:00\u0022,\u0022week\u0022:\u00222022-42\u0022,\u0022value\u0022:82.25,\u0022duolingo\u0022:74},{\u0022date\u0022:\u00222022-10-24 00:00:00\u0022,\u0022week\u0022:\u00222022-43\u0022,\u0022value\u0022:76.87,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-25 00:00:00\u0022,\u0022week\u0022:\u00222022-43\u0022,\u0022value\u0022:81.04,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-26 00:00:00\u0022,\u0022week\u0022:\u00222022-43\u0022,\u0022value\u0022:81.81,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-27 00:00:00\u0022,\u0022week\u0022:\u00222022-43\u0022,\u0022value\u0022:82.45,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-10-28 00:00:00\u0022,\u0022week\u0022:\u00222022-43\u0022,\u0022value\u0022:83.15,\u0022duolingo\u0022:72},{\u0022date\u0022:\u00222022-10-31 00:00:00\u0022,\u0022week\u0022:\u00222022-44\u0022,\u0022value\u0022:81.84,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-01 00:00:00\u0022,\u0022week\u0022:\u00222022-44\u0022,\u0022value\u0022:81.23,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-02 00:00:00\u0022,\u0022week\u0022:\u00222022-44\u0022,\u0022value\u0022:79.89,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-03 00:00:00\u0022,\u0022week\u0022:\u00222022-44\u0022,\u0022value\u0022:82.35,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-04 00:00:00\u0022,\u0022week\u0022:\u00222022-44\u0022,\u0022value\u0022:79.84,\u0022duolingo\u0022:72},{\u0022date\u0022:\u00222022-11-07 00:00:00\u0022,\u0022week\u0022:\u00222022-45\u0022,\u0022value\u0022:77.89,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-08 00:00:00\u0022,\u0022week\u0022:\u00222022-45\u0022,\u0022value\u0022:78.51,\u0022duolingo\u0022:null},{\u0022date\u0022:\u00222022-11-09 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Buy Rated Stocks Cruising at 52 Week Highs\u0022,\u0022content\u0022:\u0022When stocks are cruising at or nearing all-time highs, it reflects considerable bullishness with trends where buyers are in control. Stocks making new highs tend to make even higher highs, particularly when analysts\u0027 positive earnings estimate revisions are rolling in.\\n\\nThat\\u2019s been precisely the case for Duolingo DUOL, SharkNinja SN, and\\u00a0DaVita DVA, all of which presently sport a favorable Zacks Rank and are trading near 52-week highs. Let\\u2019s take a closer look at what\\u2019s been driving the bullish behavior.\\n\\nSharkNinja Enjoys Robust Growth\\n\\nSharkNinja, a current Zacks Rank #1 (Strong Buy), is a diversified\\u00a0product design and technology company that creates lifestyle solutions through products for consumers. The company\\u2019s outlook has shifted bullishly across the board following its latest set of rock-solid quarterly results. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nConcerning the above-mentioned quarterly print, SN posted 34% EPS Growth on 31% higher sales, with revenue of $1.2 billion penciling in the fifth consecutive period of double-digit percentage Y\\\/Y sales growth.\\n\\nAnd the growth is expected to continue nicely, with consensus expectations for its current fiscal year alluding to 31% EPS growth on 21% higher sales. Peeking a bit ahead, expectations for FY25 suggest an additional 14% pop in EPS paired with a 9% sales increase.\\n\\nThe stock sports a Style Score of \\u2018B\\u2019 for Growth. Below is a chart illustrating the company\\u2019s sales on a quarterly basis. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nUp 110% in 2024, shares have been red hot, with its earnings outlook supportive of further gains.\\n\\nDVA\u0027s Valuation Remains Attractive\\n\\nDaVita is a leading provider of dialysis services in the U.S. to patients suffering from chronic kidney failure, also known as end-stage renal disease (ESRD). The stock is currently a Zacks Rank #1 (Strong Buy), with expectations moving higher across all timeframes. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nThe valuation picture here for DVA is decently enticing, with the current forward 12-month earnings multiple of 14.0X primarily in line with historical levels. In addition, the current PEG ratio works out to 0.8X, reflecting a bargain relative to the growth expected.\\n\\nTypically, a PEG ratio beneath 1.0 indicates both growth and value. The stock sports a Style Score of \\u2018A\\u2019 for Value. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nDuolingo Sees Huge Growth Forecast\\n\\nDuolingo, a Zacks Rank #1 (Strong Buy), provides a mobile language learning platform. The company\\u2019s forecasted growth is robust, with consensus expectations for its current fiscal year alluding to 430% EPS growth paired with a 40% sales bump.\\n\\nStory continues\\n\\nThe company\\u2019s growth has already been historically strong, posting double-digit percentage year-over-year sales growth rates in each of its last ten quarters. Below is a chart illustrating DUOL\\u2019s sales on a quarterly basis. Zacks Investment Research\\n\\nImage Source: Zacks Investment Research\\n\\nShares trade at elevated valuation multiples, with the current 109.3X forward 12-month earnings multiple reflective of investors\\u2019 big growth expectations. And the company is forecasted to deliver just that, as mentioned above.\\n\\nBottom Line\\n\\nStocks making new highs tend to make even higher highs, particularly when positive earnings estimate revisions hit the tape.\\n\\nThat\\u2019s precisely what all three stocks above \\u00ad\\u2013 Duolingo DUOL, SharkNinja SN, and\\u00a0DaVita DVA \\u2013 have enjoyed, with each sporting a favorable Zacks Rank and seeing their shares trade near 52-week highs.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\nDaVita Inc. (DVA) : Free Stock Analysis Report\\n\\nSharkNinja, Inc. (SN) : Free Stock Analysis Report\\n\\nDuolingo, Inc. (DUOL) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/3-buy-rated-stocks-cruising-224500146.html\u0022,\u0022symbols\u0022:[\u00220I7E.LSE\u0022,\u0022DUOL.US\u0022,\u0022DVA.US\u0022,\u0022TRL.BE\u0022,\u0022TRL.DU\u0022,\u0022TRL.F\u0022,\u0022TRL.MU\u0022,\u0022TRL.STU\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.998,\u0022neg\u0022:0.01,\u0022neu\u0022:0.821,\u0022pos\u0022:0.169},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-10-01T21:00:00+00:00\u0022,\u0022title\u0022:\u0022Duolingo (DUOL) and AppLovin (APP) Are Aggressive Growth Stocks\u0022,\u0022content\u0022:\u0022As the aggressive growth stock strategist at Zacks Investment Research Brian Bolan this week he has two relatively higher priced stocks that have surged of late.\\n\\nDuolingo DUOL is a Zacks Rank #1 (Strong Buy) and it sports the growth divergence that Brian loves to see with an A for Growth and an F for Value in the Zacks Style Scores. When Brian sees that he knows he is on the right path as growth investors and value investors are looking for different ends of the spectrum.\\n\\nThis company helps people learn another language and we can see from the revenue growth that a lot of people are using it. This year the company is expected to post revenue of $736M and that would be good for 38% topline growth. Next year the company is expecting $945M and that is good for 28% topline growth.\\n\\nIn the video Brian takes a look at the big move in operating margins over the last three quarters. He notes that the forward PE is pretty high, but as sales increase along with margins then the valuation will improve.\\n\\nNext up is AppLovin APP Which is also a Zacks Rank #1 (Strong Buy) also shows the divergence in growth style scores that DUOL has. AppLovin (APP) has a F for Value and an A for Growth.\\n\\nThis company provides technology platforms that enable developers to market, monetize, analyze and publish their apps. The stock has seen a parabolic move higher of late as have their margins over the last three quarters.\\n\\nJust as in all of his Aggressive Growth Zacks Rank Buy videos, Brian reviews the earnings history, earnings estimates, growth projections and valuation before taking a look at the chart.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\nAppLovin Corporation (APP) : Free Stock Analysis Report\\n\\nDuolingo, Inc. (DUOL) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/duolingo-duol-applovin-app-aggressive-210000112.html\u0022,\u0022symbols\u0022:[\u0022APP.US\u0022,\u0022DUOL.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.995,\u0022neg\u0022:0.009,\u0022neu\u0022:0.814,\u0022pos\u0022:0.178},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-10-01T09:54:32+00:00\u0022,\u0022title\u0022:\u0022Reflecting On Consumer Subscription Stocks\\u2019 Q2 Earnings: Coursera (NYSE:COUR)\u0022,\u0022content\u0022:\u0022Reflecting On Consumer Subscription Stocks\\u2019 Q2 Earnings: Coursera (NYSE:COUR)\\n\\nWrapping up Q2 earnings, we look at the numbers and key takeaways for the consumer subscription stocks, including Coursera (NYSE:COUR) and its peers.\\n\\nConsumers today expect goods and services to be hyper-personalized and on demand. Whether it be what music they listen to, what movie they watch, or even finding a date, online consumer businesses are expected to delight their customers with simple user interfaces that magically fulfill demand. Subscription models have further increased usage and stickiness of many online consumer services.\\n\\nThe 8 consumer subscription stocks we track reported a slower Q2. As a group, revenues beat analysts\\u2019 consensus estimates by 1.1% while next quarter\\u2019s revenue guidance was 2.9% below.\\n\\nInflation progressed towards the Fed\u0027s 2% goal recently, leading the Fed to reduce its policy rate by 50bps (half a percent or 0.5%) in September 2024. This is the first cut in four years. While CPI (inflation) readings have been supportive lately, employment measures have bordered on worrisome. The markets will be debating whether this rate cut\u0027s timing (and more potential ones in 2024 and 2025) is ideal for supporting the economy or a bit too late for a macro that has already cooled too much.\\n\\nThankfully, consumer subscription stocks have been resilient with share prices up 7.5% on average since the latest earnings results.\\n\\nCoursera (NYSE:COUR)\\n\\nFounded by two Stanford University computer science professors, Coursera (NYSE:COUR) is an online learning platform that offers courses, specializations, and degrees from top universities and organizations around the world.\\n\\nCoursera reported revenues of $170.3 million, up 10.8% year on year. This print exceeded analysts\\u2019 expectations by 3.5%. Despite the top-line beat, it was still a mixed quarter for the company with strong growth in its users but slow revenue growth.\\n\\n\\u201cWe are excited to surpass more than two million enrollments in our generative AI catalog of courses, credentials, and hands-on projects created by the world\\u2019s top technology companies and research universities,\\u201d said Coursera CEO Jeff Maggioncalda. Coursera Total Revenue\\n\\nCoursera achieved the biggest analyst estimates beat of the whole group. The company reported 155 million users, up 20.2% year on year. Unsurprisingly, the stock is up 7.3% since reporting and currently trades at $7.94.\\n\\nRead our full report on Coursera here, it\\u2019s free.\\n\\nBest Q2: Duolingo (NASDAQ:DUOL)\\n\\nFounded by a Carnegie Mellon computer science professor and his Ph.D. student, Duolingo (NASDAQ:DUOL) is a mobile app helping people learn new languages.\\n\\nStory continues\\n\\nDuolingo reported revenues of $178.3 million, up 40.6% year on year, in line with analysts\\u2019 expectations. The business had a strong quarter with impressive growth in its users and exceptional revenue growth. Duolingo Total Revenue\\n\\nDuolingo scored the fastest revenue growth and highest full-year guidance raise among its peers. The company reported 103.6 million users, up 39.8% year on year. The market seems happy with the results as the stock is up 72.7% since reporting. It currently trades at $279.50.\\n\\nIs now the time to buy Duolingo? Access our full analysis of the earnings results here, it\\u2019s free.\\n\\nWeakest Q2: Chegg (NYSE:CHGG)\\n\\nStarted as a physical textbook rental service, Chegg (NYSE:CHGG) is now a digital platform addressing student pain points by providing study and academic assistance.\\n\\nChegg reported revenues of $163.1 million, down 10.8% year on year, exceeding analysts\\u2019 expectations by 2%. Still, it was a softer quarter as it posted a decline in its users and slow revenue growth.\\n\\nChegg delivered the slowest revenue growth in the group. The company reported 4.37 million users, down 9.1% year on year. As expected, the stock is down 38.8% since the results and currently trades at $1.80.\\n\\nRead our full analysis of Chegg\\u2019s results here.\\n\\nUdemy (NASDAQ:UDMY)\\n\\nWith courses ranging from investing to cooking to computer programming, Udemy (NASDAQ:UDMY) is an online learning platform that connects learners with expert instructors who specialize in a wide range of topics.\\n\\nUdemy reported revenues of $194.4 million, up 9% year on year. This print was in line with analysts\\u2019 expectations. More broadly, it was a mixed quarter as it produced underwhelming revenue guidance for the next quarter and slow revenue growth.\\n\\nUdemy had the weakest full-year guidance update among its peers. The company reported 16,595 active buyers, up 11% year on year. The stock is down 18.1% since reporting and currently trades at $7.58.\\n\\nRead our full, actionable report on Udemy here, it\\u2019s free.\\n\\nMatch Group (NASDAQ:MTCH)\\n\\nOriginally started as a dial-up service before widespread internet adoption, Match (NASDAQ:MTCH) was an early innovator in online dating and today has a portfolio of apps including Tinder, Hinge, Archer, and OkCupid.\\n\\nMatch Group reported revenues of $864.1 million, up 4.2% year on year. This print was in line with analysts\\u2019 expectations. More broadly, it was a mixed quarter as it logged a decline in its users and underwhelming revenue guidance for the next quarter.\\n\\nThe company reported 14.84 million users, down 5% year on year. The stock is up 10.8% since reporting and currently trades at $37.33.\\n\\nRead our full, actionable report on Match Group here, it\\u2019s free.\\n\\nJoin Paid Stock Investor Research\\n\\nHelp us make StockStory more helpful to investors like yourself. Join our paid user research session and receive a $50 Amazon gift card for your opinions. Sign up here.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/reflecting-consumer-subscription-stocks-q2-095432332.html\u0022,\u0022symbols\u0022:[\u00220CG.STU\u0022,\u00227WH.F\u0022,\u002290E.F\u0022,\u0022CHGG.US\u0022,\u0022COUR.US\u0022,\u0022DUOL.US\u0022,\u0022MTCH.US\u0022,\u0022UDMY.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.998,\u0022neg\u0022:0.02,\u0022neu\u0022:0.855,\u0022pos\u0022:0.125},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-09-30T11:05:39+00:00\u0022,\u0022title\u0022:\u0022Top US Growth Companies With High Insider Ownership In September 2024\u0022,\u0022content\u0022:\u0022As the Dow Jones Industrial Average reaches new highs and the S\u0026P 500 and Nasdaq Composite experience slight declines, investors are closely monitoring market movements influenced by inflation data and Federal Reserve policies. In this fluctuating environment, growth companies with high insider ownership can offer a unique advantage, as significant insider stakes often signal confidence in a company\u0027s long-term potential.\\n\\nTop 10 Growth Companies With High Insider Ownership In The United States\\n\\nName Insider Ownership Earnings Growth Atour Lifestyle Holdings (NasdaqGS:ATAT) 26% 23.2% GigaCloud Technology (NasdaqGM:GCT) 25.7% 24.3% Atlas Energy Solutions (NYSE:AESI) 29.1% 42.1% Victory Capital Holdings (NasdaqGS:VCTR) 10.2% 32.3% Super Micro Computer (NasdaqGS:SMCI) 25.7% 28.0% Hims \u0026 Hers Health (NYSE:HIMS) 13.8% 40.7% EHang Holdings (NasdaqGM:EH) 32.8% 81.4% Credo Technology Group Holding (NasdaqGS:CRDO) 14.0% 95% BBB Foods (NYSE:TBBB) 22.9% 51.2% Carlyle Group (NasdaqGS:CG) 29.5% 22%\\n\\nClick here to see the full list of 184 stocks from our Fast Growing US Companies With High Insider Ownership screener.\\n\\nWe\u0027re going to check out a few of the best picks from our screener tool.\\n\\nEstablishment Labs Holdings\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2606\\n\\nOverview: Establishment Labs Holdings Inc., with a market cap of $1.31 billion, is a medical technology company that manufactures and markets medical devices for aesthetic and reconstructive plastic surgery.\\n\\nOperations: The company generates $151.35 million from its medical products segment, focusing on devices for aesthetic and reconstructive plastic surgery.\\n\\nInsider Ownership: 10%\\n\\nEstablishment Labs Holdings has high insider ownership and is positioned for significant growth, with revenue expected to increase by 25.4% annually, outpacing the market\u0027s 8.7%. The recent FDA approval of its Motiva SmoothSilk implants represents a major milestone, enhancing its product portfolio. Despite recent losses and shareholder dilution over the past year, the company is forecasted to become profitable within three years. New leadership under President Fillipo Peter Caldini may further drive strategic growth initiatives.\\n\\nDelve into the full analysis future growth report here for a deeper understanding of Establishment Labs Holdings. In light of our recent valuation report, it seems possible that Establishment Labs Holdings is trading beyond its estimated value. NasdaqCM:ESTA Earnings and Revenue Growth as at Sep 2024\\n\\nBilibili\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2606\\u2606\\n\\nOverview: Bilibili Inc. offers online entertainment services targeting young generations in China and has a market cap of $9.50 billion.\\n\\nStory continues\\n\\nOperations: The company generates CN\\u00a523.95 billion from its Internet Information Providers segment.\\n\\nInsider Ownership: 20.7%\\n\\nBilibili has significant insider ownership and is poised for growth, with revenue expected to increase by 11.7% annually, surpassing the US market\u0027s 8.7%. The company reported Q2 2024 revenue of CNY 6.13 billion, up from CNY 5.30 billion a year ago, and reduced its net loss to CNY 608.7 million from CNY 1.55 billion. Although Bilibili\u0027s share price has been highly volatile recently, it trades at a discount of approximately 22.9% below estimated fair value and is forecasted to become profitable within three years with earnings growing at an annual rate of over 80%.\\n\\nClick to explore a detailed breakdown of our findings in Bilibili\u0027s earnings growth report. The analysis detailed in our Bilibili valuation report hints at an deflated share price compared to its estimated value. NasdaqGS:BILI Earnings and Revenue Growth as at Sep 2024\\n\\nDuolingo\\n\\nSimply Wall St Growth Rating: \\u2605\\u2605\\u2605\\u2605\\u2605\\u2605\\n\\nOverview: Duolingo, Inc. operates as a mobile learning platform in the United States, the United Kingdom, and internationally with a market cap of $12.11 billion.\\n\\nOperations: Duolingo generates $634.49 million from its educational software segment.\\n\\nInsider Ownership: 14.7%\\n\\nDuolingo, with high insider ownership and no substantial insider selling recently, is experiencing rapid growth. The company reported Q2 2024 sales of US$178.33 million, up from US$126.84 million a year ago, and net income rose to US$24.35 million from US$3.73 million. Duolingo\u0027s earnings are forecast to grow significantly over the next three years at 41.6% annually, outpacing the market average of 15.2%. Recent partnerships like with Sony Music aim to enhance user engagement further.\\n\\nClick here and access our complete growth analysis report to understand the dynamics of Duolingo. Our valuation report here indicates Duolingo may be overvalued. NasdaqGS:DUOL Ownership Breakdown as at Sep 2024\\n\\nSumming It All Up\\n\\nGet an in-depth perspective on all 184 Fast Growing US Companies With High Insider Ownership by using our screener here. Are these companies part of your investment strategy? Use Simply Wall St to consolidate your holdings into a portfolio and gain insights with our comprehensive analysis tools. Elevate your portfolio with Simply Wall St, the ultimate app for investors seeking global market coverage.\\n\\nReady For A Different Approach?\\n\\nExplore high-performing small cap companies that haven\u0027t yet garnered significant analyst attention. Diversify your portfolio with solid dividend payers offering reliable income streams to weather potential market turbulence. Find companies with promising cash flow potential yet trading below their fair value.\\n\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.The analysis only considers stock directly held by insiders. It does not include indirectly owned stock through other vehicles such as corporate and\\\/or trust entities. All forecast revenue and earnings growth rates quoted are in terms of annualised (per annum) growth rates over 1-3 years.\\n\\nCompanies discussed in this article include NasdaqCM:ESTANasdaqGS:BILI and NasdaqGS:DUOL.\\n\\nHave feedback on this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/top-us-growth-companies-high-110539382.html\u0022,\u0022symbols\u0022:[\u002271BA.F\u0022,\u002271BA.STU\u0022,\u002271BB.F\u0022,\u00229626.HK\u0022,\u0022AESI.US\u0022,\u0022B1IL34.SA\u0022,\u0022BILI.US\u0022,\u0022BLBLF.US\u0022,\u0022DUOL.US\u0022,\u0022HIMS.US\u0022,\u0022TBBB.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.009,\u0022neu\u0022:0.847,\u0022pos\u0022:0.144},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022},{\u0022date\u0022:\u00222024-09-29T08:45:00+00:00\u0022,\u0022title\u0022:\u0022The Best Stocks to Invest $50,000 in Right Now\u0022,\u0022content\u0022:\u0022I often like to say that investing is like cooking: Having a fantastic recipe doesn\u0027t guarantee success, but it\u0027s certainly a good start.\\n\\nWith that in mind, let\u0027s take a shot at putting together an investment recipe -- a hypothetical $50,000 portfolio.\\n\\nHere\u0027s what I have in mind. Image source: Getty Images.\\n\\nWalmart\\n\\nTo begin, I\u0027m allocating $20,000, or 40% of my hypothetical portfolio, to Walmart (NYSE: WMT).\\n\\nWhile researching an article about the largest companies in 2009, I discovered that only one of the top five from that year (by revenue) remains in the top five today. Spoiler alert: It\u0027s Walmart.\\n\\nClearly, the company has staying power. Much has changed about the retail landscape over the last 15 years with the rise in e-commerce. Yet, Walmart hasn\u0027t just survived, it has thrived.\\n\\nOver the last 12 months, the company generated more than $665 billion in sales. That\u0027s first among all American companies. Since 2009, the company has increased its sales by 65%. Much of that growth is due to Walmart expanding its focus to include e-commerce.\\n\\nFor example, in its most recent quarter (the three months ending on July 31), the company reported $115 billion in U.S. sales. Nearly $19 billion, or about 17% of that, came from online orders. It has now reported e-commerce growth of 20% or higher in five of its last six quarters.\\n\\nIn short, Walmart stands a decent chance to be one of the five largest American companies by revenue in another 15 years, given its rapid e-commerce growth. That\u0027s great news for Walmart -- and for prospective investors.\\n\\nDuolingo\\n\\nNext up, I\u0027m allocating $5,000, or 10% of my hypothetical portfolio, to Duolingo (NASDAQ: DUOL).\\n\\nWhen it comes to Duolingo, I\u0027m taking a page from one of my investing heroes, Peter Lynch, former manager of the Fidelity Magellan mutual fund. He advised investors to \\\u0022buy what you know.\\\u0022 And in the case of Duolingo, I know quite a bit.\\n\\nFor those who don\u0027t know, here\u0027s a quick rundown of the company: It operates a language-learning app, downloadable on smartphones and other devices. Users can then start mastering a language for free.\\n\\nBut this is no ordinary app. It\u0027s highly addictive, thanks to its smart design and \\\u0022gamification\\\u0022 features, which feel more like playing a video game than conjugating verbs and memorizing vocabulary.\\n\\nAs a result, Duolingo is a hit, and it\u0027s racking up tons of new users and subscribers.\\n\\nIn its most recent quarter (the three months ending on June 30), the company surpassed 100 million monthly active users. Its total subscribers grew to 8 million, up 52% from a year earlier.\\n\\nStory continues\\n\\nThose impressive user figures are contributing to fantastic financials, too. Revenue grew 41% year over year to $178 million, and net income rose to $24 million -- more than six times what it was in the same quarter one year ago. And analysts expect the company to generate about $950 million in revenue next year, up about 29% from this year.\\n\\nIn summary, Duolingo has lots of upside potential. By allocating 10% of my hypothetical portfolio to this highflier, I\u0027m adding some spice to my investment recipe.\\n\\nMicrosoft\\n\\nLastly, I\u0027m allocating $25,000, or 50% of my hypothetical portfolio, to Microsoft (NASDAQ: MSFT).\\n\\nThe reason I\u0027m investing so much in Microsoft is simple: It\u0027s a great company with fantastic leadership in a growing industry.\\n\\nEveryone knows Microsoft. It\u0027s been an iconic American company for decades, and many of its products are legendary. But in addition to its famous software applications like Office and Windows, the company also has large unrelated business segments like gaming and cloud services.\\n\\nAs for its leadership, CEO Satya Nadella has now been at the helm for over a decade, and the record is clear: He\u0027s a winner. The company\u0027s stock has soared by more than 1,300% over that time, for a compound annual growth rate of 28.4% -- which more than doubles the return from the S\u0026P 500 over the same period. MSFT Total Return Level Chart\\n\\nMSFT total return level; data by YCharts.\\n\\nYet, what\u0027s most exciting about Microsoft is its future. The company is a leader in artificial intelligence (AI). Its key partnership with ChatGPT maker OpenAI has already seen it integrate AI features into its iconic software suite, with more probably on the way.\\n\\nTo close, by allocating half of my $50,000 portfolio to Microsoft, I\u0027m confident my recipe has a solid base with one of the world\u0027s largest and best-run companies. Moreover, it\u0027s a stock that has significantly outperformed the benchmark S\u0026P 500 for more than a decade.\\n\\nShould you invest $1,000 in Microsoft right now?\\n\\nBefore you buy stock in Microsoft, consider this:\\n\\nThe Motley Fool Stock Advisor analyst team just identified what they believe are the 10 best stocks for investors to buy now\\u2026 and Microsoft wasn\\u2019t one of them. The 10 stocks that made the cut could produce monster returns in the coming years.\\n\\nConsider when\\u00a0Nvidia made this list on April 15, 2005... if you invested $1,000 at the time of our recommendation, you\\u2019d have $743,952!*\\n\\nStock Advisor provides investors with an easy-to-follow blueprint for success, including guidance on building a portfolio, regular updates from analysts, and two new stock picks each month. TheStock Advisorservice has more than quadrupled the return of S\u0026P 500 since 2002*.\\n\\nSee the 10 stocks \\u00bb\\n\\n*Stock Advisor returns as of September 23, 2024\\n\\nJake Lerch has positions in Duolingo. The Motley Fool has positions in and recommends Duolingo, Microsoft, and Walmart. The Motley Fool recommends the following options: long January 2026 $395 calls on Microsoft and short January 2026 $405 calls on Microsoft. The Motley Fool has a disclosure policy.\\n\\nThe Best Stocks to Invest $50,000 in Right Now was originally published by The Motley Fool\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/best-stocks-invest-50-000-084500603.html\u0022,\u0022symbols\u0022:[\u0022DUOL.US\u0022,\u0022MSFT.US\u0022,\u0022WMT.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.025,\u0022neu\u0022:0.835,\u0022pos\u0022:0.14},\u0022time_elapsed_date\u0022:\u00223 days ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222025-06-12\u0022,\u0022exception\u0022:null}"},{"id":1739,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022LULU\u0022,\u0022stockName\u0022:\u0022Lululemon Athletica Inc\u0022,\u0022stockExchange\u0022:\u0022US\u0022,\u0022duration\u0022:\u0022-2 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Dollar\u0022,\u0022CurrencySymbol\u0022:\u0022$\u0022,\u0022CountryName\u0022:\u0022USA\u0022,\u0022CountryISO\u0022:\u0022US\u0022,\u0022OpenFigi\u0022:\u0022BBG000R8ZVD1\u0022,\u0022ISIN\u0022:\u0022US5500211090\u0022,\u0022LEI\u0022:\u0022549300D9GZ4BMLDW5T40\u0022,\u0022PrimaryTicker\u0022:\u0022LULU.US\u0022,\u0022CUSIP\u0022:\u0022550021109\u0022,\u0022CIK\u0022:\u00221397187\u0022,\u0022EmployerIdNumber\u0022:\u002220-3842867\u0022,\u0022FiscalYearEnd\u0022:\u0022January\u0022,\u0022IPODate\u0022:\u00222007-07-27\u0022,\u0022InternationalDomestic\u0022:\u0022Domestic\u0022,\u0022Sector\u0022:\u0022Consumer Cyclical\u0022,\u0022Industry\u0022:\u0022Apparel Retail\u0022,\u0022GicSector\u0022:\u0022Consumer Discretionary\u0022,\u0022GicGroup\u0022:\u0022Consumer Durables \u0026 Apparel\u0022,\u0022GicIndustry\u0022:\u0022Textiles, Apparel \u0026 Luxury Goods\u0022,\u0022GicSubIndustry\u0022:\u0022Apparel, Accessories \u0026 Luxury Goods\u0022,\u0022HomeCategory\u0022:\u0022Domestic\u0022,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022Lululemon Athletica Inc., together with its subsidiaries, designs, distributes, and retails athletic apparel, footwear, and accessories under the lululemon brand for women and men. It offers pants, shorts, tops, and jackets for healthy lifestyle, such as yoga, running, training, and other activities. It also provides fitness-inspired accessories. The company sells its products through a chain of company-operated stores; outlets; interactive workout platform; yoga and fitness studios, university campus retailers, and other partners; license and supply arrangements; and temporary locations, as well as through mobile apps and lululemon.com e-commerce website. It has operations in the United States, Canada, Mainland China, Australia, South Korea, Hong Kong, Japan, New Zealand, Taiwan, Singapore, Malaysia, Macau, Thailand, the Asia Pacific, the United Kingdom, Germany, France, Ireland, Spain, the Netherlands, Sweden, Norway, Switzerland, Europe, the Middle East, and Africa. 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Athletica Takes \u0027Thoughtful\u0027 Approach in China, Growth Expectations May Be Overly Optimistic, Morgan Stanley Says\u0022,\u0022content\u0022:\u0022Lululemon Athletica Takes \u0027Thoughtful\u0027 Approach in China, Growth Expectations May Be Overly Optimistic, Morgan Stanley Says\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/lululemon-athletica-takes-apos-thoughtful-170100876.html\u0022,\u0022symbols\u0022:[\u00220JVT.LSE\u0022,\u002233L.BE\u0022,\u002233L.F\u0022,\u002233L.STU\u0022,\u0022L1UL34.SA\u0022,\u0022LULU.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.599,\u0022neg\u0022:0,\u0022neu\u0022:0.741,\u0022pos\u0022:0.259},\u0022time_elapsed_date\u0022:\u00221 day ago\u0022},{\u0022date\u0022:\u00222024-09-27T16:11:02+00:00\u0022,\u0022title\u0022:\u0022How is Lululemon Athletica, Inc. (LULU) the Best Fashion Stock to Buy Now?\u0022,\u0022content\u0022:\u0022In this article we will look at the\\u00a011 Best Fashion Stocks To Buy Now. Let\\u2019s look at where Lululemon Athletica, Inc. (LULU) stands against other best fashion stocks to buy now.\\n\\nOverview of the Global Fashion Industry\\n\\nThe global fashion industry is a force to reckon with as one of the largest industries across the globe. The global fashion retail market was worth $91.25 billion in 2023, as per a report by Zion Market Research. This market is anticipated to grow to $157.88 billion by 2032, at a compound annual growth rate of around 7.09% between 2024 and 2032.\\n\\nAccording to the McKinsey report on The State of Fashion 2024, the fashion market in the US and Europe experienced slow growth in 2023. In comparison, China\\u2019s fashion market performed better in the first half of 2023 before gradually waning in the second half. The luxury segment, however, underwent considerable growth in the first half of 2024. But it, too, began to experience the effects of weaker demand in the second half of 2023.\\n\\nAccording to McKinsey\\u2019s forecast, the global fashion industry is expected to undergo a top-line growth of between 2% and 4% in 2024. The luxury segment has a more optimistic outlook, with growth expectations reaching 3% to 5% globally.\\n\\nHowever, with inflation consistently falling, the global fashion industry is expected to exceed expert estimates and make a solid comeback. The Federal Reserve also cut interest rates in September, its first cut since the COVID-19 pandemic, slashing half a percentage point off benchmark rates. These recent happenings are expected to positively impact the global fashion industry in general and the US fashion segment in particular, due to a potential increase in consumer spending.\\n\\nThe Global Fashion Industry: Potential Challenges and Future Outlook\\n\\nHowever, despite the apparently optimistic landscape, the fashion industry is not immune to challenges. According to a survey by McKinsey \u0026 Company, 62% of executives cite geopolitical instability as the most prominent threat to fashion industry growth. In addition, around 55% of executives believe economic volatility is the largest hindrance to increased revenue. 51% consider inflation to be the primary cause behind this roadblock.\\n\\nExpert opinion on the industry\\u2019s future outlook is also divided. While 37% of respondents believe the sector will likely stay the same, 38% expressed a pessimistic outlook, claiming that the industry will worsen with time. In contrast, 26% expressed hope and optimism, believing that the global fashion industry will likely come back. The survey also concluded that since cost-saving tactics across the industry have almost been exhausted, a more than 50% intent of raising prices stands.\\n\\nStory continues\\n\\nOur Methodology\\n\\nWe first consulted stock screeners from Finviz and Yahoo Finance, along with online rankings, to create an initial list of 30 publicly traded fashion companies. From this list, we selected the 11 stocks with the highest number of hedge funds as of Q2 2024 and used that as our ranking metric.\\n\\nWhy are we interested in the stocks that hedge funds pile into? The reason is simple: our research has shown that we can outperform the market by imitating the top stock picks of the best hedge funds. Our quarterly newsletter\\u2019s strategy selects 14 small-cap and large-cap stocks every quarter and has returned 275% since May 2014, beating its benchmark by 150 percentage points (see more details here). 11 Best Fashion Stocks to Buy Now\\n\\n11 Best Fashion Stocks to Buy Now\\n\\nLululemon Athletica, Inc. (NASDAQ:LULU)\\n\\nNo. of Hedge Funds as of Q2 2024: 45\\n\\nLululemon (NASDAQ:LULU) designs, distributes, and sells athletic apparel, footwear, and accessories. Its apparel segment offers shirts, shorts, tops, jackets, and other necessary items for a healthy lifestyle and athletic activities, such as running, training, yoga, and others. Its collection also includes fitness-inspired accessories. The company\\u2019s segments are divided into company-operated stores and direct-to-consumer segments.\\n\\nLululemon\\u2019s\\u00a0 (NASDAQ:LULU) technical athletic footwear, apparel, and accessories are sold through different channels, including direct-to-consumer via e-commerce, company-operated stores, outlets, sales to wholesale accounts, recommence, license and supply arrangements, and sales from temporary locations. It also operates Lululemon Studio, which offers in-home connected fitness and related content subscriptions. Lululemon\\u00a0 (NASDAQ:LULU) manages stores in the United States, Canada, Australia, the United Kingdom, Germany, South Korea, and others.\\n\\nThe company\\u2019s significant market popularity gives it a competitive edge. By merchandise category, men\\u2019s increased by 11%, women\\u2019s by 6%, and accessories by 7% in Q2 2024. The company also repurchased $584 million of its stock in Q2, bringing its total to $1.2 billion year-to-date. This highlights the company\\u2019s continued confidence in its business.\\n\\nLululemon\\u00a0 (NASDAQ:LULU) saw strength in its regional performance, with international markets showing high consumer engagement with the brand. Its established business outside North America remains one of its largest growth opportunities. It is on track to quadruple its international revenue from 2021 levels by the end of 2026. Total international revenue in the quarter increased by 29%, or 31% in constant currency, highlighting the company\\u2019s robust profitability model.\\n\\nThe company is fast-tracking a number of new styles within tops, performance shorts, and tracksuits for 2025. The company exhibits confidence in its new strategies and is on track to return to its historical levels of newness before Spring 2025. The stock sports a consensus Buy rating among analysts, and its median price target of $262.61 implies an upside of 23.38% from current levels.\\n\\nOverall, LULU ranks fourth among the best fashion stocks to buy now. While we acknowledge the potential of fashion companies, our conviction lies in the belief that AI stocks hold greater promise for delivering higher returns, and doing so within a shorter timeframe. If you are looking for an AI stock that is more promising than LULU but that trades at less than 5 times its earnings, check out our report about the cheapest AI stock.\\n\\nREAD NEXT: $30 Trillion Opportunity: 15 Best Humanoid Robot Stocks to Buy According to Morgan Stanley and Jim Cramer Says NVIDIA \\u2018Has Become A Wasteland\\u2019.\\n\\nDisclosure: None. Insider Monkey focuses on uncovering the best investment ideas of hedge funds and insiders. Please subscribe to our free daily e-newsletter to get the latest investment ideas from hedge funds\\u2019 investor letters by entering your email address below.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/lululemon-athletica-inc-lulu-best-161102975.html\u0022,\u0022symbols\u0022:[\u00220JVT.LSE\u0022,\u002233L.BE\u0022,\u002233L.F\u0022,\u002233L.STU\u0022,\u0022L1UL34.SA\u0022,\u0022LULU.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.997,\u0022neg\u0022:0.026,\u0022neu\u0022:0.865,\u0022pos\u0022:0.109},\u0022time_elapsed_date\u0022:\u00225 days ago\u0022},{\u0022date\u0022:\u00222024-09-27T13:00:16+00:00\u0022,\u0022title\u0022:\u0022Here is What to Know Beyond Why lululemon athletica inc. (LULU) is a Trending Stock\u0022,\u0022content\u0022:\u0022Lululemon (LULU) has been one of the most searched-for stocks on Zacks.com lately. So, you might want to look at some of the facts that could shape the stock\u0027s performance in the near term.\\n\\nShares of this athletic apparel maker have returned +3.8% over the past month versus the Zacks S\u0026P 500 composite\u0027s +2.4% change. The Zacks Textile - Apparel industry, to which Lululemon belongs, has gained 3.9% over this period. Now the key question is: Where could the stock be headed in the near term?\\n\\nAlthough media reports or rumors about a significant change in a company\u0027s business prospects usually cause its stock to trend and lead to an immediate price change, there are always certain fundamental factors that ultimately drive the buy-and-hold decision.\\n\\nEarnings Estimate Revisions\\n\\nHere at Zacks, we prioritize appraising the change in the projection of a company\u0027s future earnings over anything else. That\u0027s because we believe the present value of its future stream of earnings is what determines the fair value for its stock.\\n\\nOur analysis is essentially based on how sell-side analysts covering the stock are revising their earnings estimates to take the latest business trends into account. When earnings estimates for a company go up, the fair value for its stock goes up as well. And when a stock\u0027s fair value is higher than its current market price, investors tend to buy the stock, resulting in its price moving upward. Because of this, empirical studies indicate a strong correlation between trends in earnings estimate revisions and short-term stock price movements.\\n\\nLululemon is expected to post earnings of $2.73 per share for the current quarter, representing a year-over-year change of +7.9%. Over the last 30 days, the Zacks Consensus Estimate has changed +0.1%.\\n\\nFor the current fiscal year, the consensus earnings estimate of $14.02 points to a change of +9.8% from the prior year. Over the last 30 days, this estimate has changed -0.1%.\\n\\nFor the next fiscal year, the consensus earnings estimate of $15.07 indicates a change of +7.5% from what Lululemon is expected to report a year ago. Over the past month, the estimate has changed -1.4%.\\n\\nWith an impressive externally audited track record, our proprietary stock rating tool -- the Zacks Rank -- is a more conclusive indicator of a stock\u0027s near-term price performance, as it effectively harnesses the power of earnings estimate revisions. The size of the recent change in the consensus estimate, along with three other factors related to earnings estimates, has resulted in a Zacks Rank #3 (Hold) for Lululemon.\\n\\nStory continues\\n\\nThe chart below shows the evolution of the company\u0027s forward 12-month consensus EPS estimate:\\n\\n12 Month EPS\\n\\nProjected Revenue Growth\\n\\nWhile earnings growth is arguably the most superior indicator of a company\u0027s financial health, nothing happens as such if a business isn\u0027t able to grow its revenues. After all, it\u0027s nearly impossible for a company to increase its earnings for an extended period without increasing its revenues. So, it\u0027s important to know a company\u0027s potential revenue growth.\\n\\nIn the case of Lululemon, the consensus sales estimate of $2.35 billion for the current quarter points to a year-over-year change of +6.7%. The $10.51 billion and $11.29 billion estimates for the current and next fiscal years indicate changes of +9.2% and +7.5%, respectively.\\n\\nLast Reported Results and Surprise History\\n\\nLululemon reported revenues of $2.37 billion in the last reported quarter, representing a year-over-year change of +7.3%. EPS of $3.15 for the same period compares with $2.68 a year ago.\\n\\nCompared to the Zacks Consensus Estimate of $2.4 billion, the reported revenues represent a surprise of -1.37%. The EPS surprise was +7.88%.\\n\\nThe company beat consensus EPS estimates in each of the trailing four quarters. The company topped consensus revenue estimates three times over this period.\\n\\nValuation\\n\\nWithout considering a stock\u0027s valuation, no investment decision can be efficient. In predicting a stock\u0027s future price performance, it\u0027s crucial to determine whether its current price correctly reflects the intrinsic value of the underlying business and the company\u0027s growth prospects.\\n\\nComparing the current value of a company\u0027s valuation multiples, such as its price-to-earnings (P\\\/E), price-to-sales (P\\\/S), and price-to-cash flow (P\\\/CF), to its own historical values helps ascertain whether its stock is fairly valued, overvalued, or undervalued, whereas comparing the company relative to its peers on these parameters gives a good sense of how reasonable its stock price is.\\n\\nAs part of the Zacks Style Scores system, the Zacks Value Style Score (which evaluates both traditional and unconventional valuation metrics) organizes stocks into five groups ranging from A to F (A is better than B; B is better than C; and so on), making it helpful in identifying whether a stock is overvalued, rightly valued, or temporarily undervalued.\\n\\nLululemon is graded C on this front, indicating that it is trading at par with its peers. Click here to see the values of some of the valuation metrics that have driven this grade.\\n\\nConclusion\\n\\nThe facts discussed here and much other information on Zacks.com might help determine whether or not it\u0027s worthwhile paying attention to the market buzz about Lululemon. However, its Zacks Rank #3 does suggest that it may perform in line with the broader market in the near term.\\n\\nWant the latest recommendations from Zacks Investment Research? Today, you can download 7 Best Stocks for the Next 30 Days. Click to get this free report\\n\\nlululemon athletica inc. (LULU) : Free Stock Analysis Report\\n\\nTo read this article on Zacks.com click here.\\n\\nZacks Investment Research\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/know-beyond-why-lululemon-athletica-130016115.html\u0022,\u0022symbols\u0022:[\u00220JVT.LSE\u0022,\u002233L.BE\u0022,\u002233L.F\u0022,\u002233L.STU\u0022,\u0022L1UL34.SA\u0022,\u0022LULU.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.006,\u0022neu\u0022:0.869,\u0022pos\u0022:0.125},\u0022time_elapsed_date\u0022:\u00225 days ago\u0022},{\u0022date\u0022:\u00222024-09-23T11:00:00+00:00\u0022,\u0022title\u0022:\u0022lululemon\\u2019s Global Wellbeing Report Shows the Pressure to Keep Up with Wellbeing is Making People Feel Unwell\u0022,\u0022content\u0022:\u00222024 lululemon Global Wellbeing Report (Photo: Business Wire) 2024 lululemon Global Wellbeing Report Infographic\\n\\nAnnual report from global retailer underscores that moving with others can improve overall wellbeing\\n\\nVANCOUVER, British Columbia, September 23, 2024--(BUSINESS WIRE)--lululemon (NASDAQ: LULU) today released its fourth annual 2024 Global Wellbeing Report1, revealing a perpetual and counterproductive cycle where the relentless pursuit of wellbeing is making us less well. While the focus on wellbeing is stronger than ever \\u2013 89% of people are taking more action than they were a year ago to improve their wellbeing \\u2013 so is the pressure to keep up. Nearly two-thirds of respondents are struggling with this growing societal demand to support their wellbeing in specific ways. This pressure is causing almost half of respondents to experience \\\u0022wellbeing burnout.\\\u0022\\n\\n\\\u0022We are pleased to share new insights into the state of wellbeing around the world,\\\u0022 said Calvin McDonald, CEO, lululemon. \\\u0022By sharing these insights, we hope to stimulate conversations and encourage people to reflect on how to support their wellbeing. The data shows us that moving with others and feeling a sense of community can positively impact how a person feels, and we look forward to bringing our guests and communities around the world together throughout the year to do just that.\\\u0022\\n\\nDespite this continued prioritization of wellbeing, the Wellbeing Index Scores, measured across physical, mental and social dimensions, have remained stagnant globally over the past four years; underscoring a need for a change in the approach to improving wellbeing. The data highlights the top pressure points fueling the wellbeing cycle:\\n\\n61% of those surveyed say they experience overwhelming societal expectations to appear well. 53% say there is a lot of conflicting information about the best ways to improve wellbeing. 89% of those experiencing \\\u0022wellbeing burnout\\\u0022 say loneliness is a contributing factor.\\n\\nThe report outlines three strategies that are helping people worldwide get unstuck and move beyond \\\u0022wellbeing burnout.\\\u0022\\n\\nQuiet the noise \\u2013 Focus on mindfulness, take social media breaks and set boundaries. For example, those who practice meditation report 12% higher wellbeing. Do what feels good to you \\u2013 Practice doing things at your own pace, move your body throughout the day, spend time in nature, or use physical activity to socialize. Those who move their body a little throughout the day report 16% higher wellbeing. Invite others on your journey \\u2013 Connect with your community by working out with a friend, sign-up for a team sport or fitness class, or vocalize your needs with your family, friendships, and relationships. Those who use physical activity as an opportunity to socialize with others report 23% higher wellbeing.\\n\\nStory continues\\n\\n\\\u0022Often, the pressure to improve our wellbeing causes us to overthink and fixate on what\\u2019s lacking in our lives. I recommend setting gradual, achievable goals, turning the pursuit of wellbeing into a source of joy and anticipation rather than stress,\\\u0022 said Dr. Murali Doraiswamy, professor, Duke University and lululemon Mental Wellbeing Global Advisory Board member.\\n\\nWhile the data highlights the wellbeing pressures, an intersection of community and movement can help break the cycle and improve wellbeing. Through the simple act of moving with others, individuals can feel more connected to their communities, become rooted in purpose and improve overall wellbeing by 16%.\\n\\nAs a brand rooted in community and movement, lululemon announced a $3.1M USD commitment to United for Global Mental Health, The Global Coalition for Youth Mental Health led by UNICEF2 and UNICEF\u0027s Global Mental Health Fund, and the National Alliance on Mental Illness (NAMI) to continue their work in advancing mental health across the globe, with a sharpened focus on the intersection of movement and mental health.\\n\\n\\\u0022People are talking about mental health more than ever before and it is critical for every part of our societies to come together to continue to raise awareness, reduce stigma and take action to increase support for mental health around the world,\\\u0022 said Sarah Kline, CEO of United for Global Mental Health (UnitedGMH) and lululemon Mental Wellbeing Global Advisory Board Member. \\\u0022With lululemon\\u2019s donation and partnership, United for Global Mental Health will continue to drive national and global policy commitments and actions to encourage greater physical activity to support mental health across the world, recognising the strong bidirectional link between physical and mental health. We will continue building the Global Mental Health Action Network as a global community to promote action and garner conversations to help address mental health and wellbeing pressures.\\\u0022\\n\\nIn support of World Mental Health Day, lululemon is sharing a variety of actions big and small to boost wellbeing for all and bring guests together globally to move in different ways. From October 7 \\u2013 October 12, lululemon will be hosting a variety of free movement-based community activations around the world. To learn more about how to participate please visit: https:\\\/\\\/corporate.lululemon.com\\\/media\\\/our-stories\\\/2024\\\/lululemon-brings-community-and-movement-together.\\n\\nTo view the lululemon 2024 Global Wellbeing Report, please visit here.\\n\\n1 lululemon launched its annual Global Wellbeing Report in 2021 to help guide its ongoing work in support of its brand purpose and achieving the Be Well goals outlined in its Impact Agenda. The 15-market study benchmarks the state of wellbeing globally and explores the drivers and barriers to being well mentally, physically, and socially. Research was fielded April 22, 2024, to May 30, 2024, and included 16,000 general population adults globally (1,000 within each of the following 15 markets: United States, Canada, United Kingdom, France, Germany, Spain, Australia, New Zealand, Singapore, Malaysia, South Korea, Hong Kong S.A.R., Thailand and Japan; and 2,000 within China Mainland).\\n\\n2 UNICEF does not endorse any company, brand, product or service.\\n\\nAbout lululemon\\n\\nlululemon (NASDAQ:LULU) is a technical athletic apparel, footwear, and accessories company for yoga, running, training, and most other activities, creating transformational products and experiences that build meaningful connections, unlocking greater possibility and wellbeing for all. Setting the bar in innovation of fabrics and functional designs, lululemon works with yogis and athletes in local communities around the world for continuous research and product feedback. For more information, visit lululemon.com.\\n\\nView source version on businesswire.com: https:\\\/\\\/www.businesswire.com\\\/news\\\/home\\\/20240923847240\\\/en\\\/\\n\\nContacts\\n\\nlululemon \\r\\nlululemon athletica inc.\\r\\nMadi Wallace\\r\\n1-604-732-6124\\n\\nEdelman \\r\\nlululemon@edelman.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/lululemon-global-wellbeing-report-shows-110000659.html\u0022,\u0022symbols\u0022:[\u00220JVT.LSE\u0022,\u002233L.BE\u0022,\u002233L.F\u0022,\u002233L.STU\u0022,\u0022L1UL34.SA\u0022,\u0022LULU.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.025,\u0022neu\u0022:0.824,\u0022pos\u0022:0.151},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022},{\u0022date\u0022:\u00222024-09-22T14:31:54+00:00\u0022,\u0022title\u0022:\u0022Calculating The Intrinsic Value Of Lululemon Athletica Inc. (NASDAQ:LULU)\u0022,\u0022content\u0022:\u0022Key Insights\\n\\nUsing the 2 Stage Free Cash Flow to Equity, Lululemon Athletica fair value estimate is US$315 Current share price of US$263 suggests Lululemon Athletica is potentially trading close to its fair value Analyst price target for LULU is US$316 which is similar to our fair value estimate\\n\\nDoes the September share price for Lululemon Athletica Inc. (NASDAQ:LULU) reflect what it\u0027s really worth? Today, we will estimate the stock\u0027s intrinsic value by taking the expected future cash flows and discounting them to today\u0027s value. Our analysis will employ the Discounted Cash Flow (DCF) model. Don\u0027t get put off by the jargon, the math behind it is actually quite straightforward.\\n\\nRemember though, that there are many ways to estimate a company\u0027s value, and a DCF is just one method. If you still have some burning questions about this type of valuation, take a look at the Simply Wall St analysis model.\\n\\nView our latest analysis for Lululemon Athletica\\n\\nStep By Step Through The Calculation\\n\\nWe\u0027re using the 2-stage growth model, which simply means we take in account two stages of company\u0027s growth. In the initial period the company may have a higher growth rate and the second stage is usually assumed to have a stable growth rate. In the first stage we need to estimate the cash flows to the business over the next ten years. Where possible we use analyst estimates, but when these aren\u0027t available we extrapolate the previous free cash flow (FCF) from the last estimate or reported value. We assume companies with shrinking free cash flow will slow their rate of shrinkage, and that companies with growing free cash flow will see their growth rate slow, over this period. We do this to reflect that growth tends to slow more in the early years than it does in later years.\\n\\nGenerally we assume that a dollar today is more valuable than a dollar in the future, so we need to discount the sum of these future cash flows to arrive at a present value estimate:\\n\\n10-year free cash flow (FCF) estimate\\n\\n2025 2026 2027 2028 2029 2030 2031 2032 2033 2034 Levered FCF ($, Millions) US$1.37b US$1.53b US$1.50b US$1.92b US$1.98b US$2.03b US$2.09b US$2.14b US$2.20b US$2.25b Growth Rate Estimate Source Analyst x8 Analyst x9 Analyst x5 Analyst x2 Analyst x1 Est @ 2.68% Est @ 2.62% Est @ 2.59% Est @ 2.56% Est @ 2.54% Present Value ($, Millions) Discounted @ 7.0% US$1.3k US$1.3k US$1.2k US$1.5k US$1.4k US$1.4k US$1.3k US$1.2k US$1.2k US$1.1k\\n\\n(\\\u0022Est\\\u0022 = FCF growth rate estimated by Simply Wall St)\\r\\nPresent Value of 10-year Cash Flow (PVCF) = US$13b\\n\\nWe now need to calculate the Terminal Value, which accounts for all the future cash flows after this ten year period. The Gordon Growth formula is used to calculate Terminal Value at a future annual growth rate equal to the 5-year average of the 10-year government bond yield of 2.5%. We discount the terminal cash flows to today\u0027s value at a cost of equity of 7.0%.\\n\\nTerminal Value (TV)= FCF2034 \\u00d7 (1 + g) \\u00f7 (r \\u2013 g) = US$2.3b\\u00d7 (1 + 2.5%) \\u00f7 (7.0%\\u2013 2.5%) = US$51b\\n\\nPresent Value of Terminal Value (PVTV)= TV \\\/ (1 + r)10= US$51b\\u00f7 ( 1 + 7.0%)10= US$26b\\n\\nThe total value, or equity value, is then the sum of the present value of the future cash flows, which in this case is US$39b. To get the intrinsic value per share, we divide this by the total number of shares outstanding. Relative to the current share price of US$263, the company appears about fair value at a 17% discount to where the stock price trades currently. The assumptions in any calculation have a big impact on the valuation, so it is better to view this as a rough estimate, not precise down to the last cent. dcf\\n\\nImportant Assumptions\\n\\nNow the most important inputs to a discounted cash flow are the discount rate, and of course, the actual cash flows. You don\u0027t have to agree with these inputs, I recommend redoing the calculations yourself and playing with them. The DCF also does not consider the possible cyclicality of an industry, or a company\u0027s future capital requirements, so it does not give a full picture of a company\u0027s potential performance. Given that we are looking at Lululemon Athletica as potential shareholders, the cost of equity is used as the discount rate, rather than the cost of capital (or weighted average cost of capital, WACC) which accounts for debt. In this calculation we\u0027ve used 7.0%, which is based on a levered beta of 1.101. Beta is a measure of a stock\u0027s volatility, compared to the market as a whole. We get our beta from the industry average beta of globally comparable companies, with an imposed limit between 0.8 and 2.0, which is a reasonable range for a stable business.\\n\\nSWOT Analysis for Lululemon Athletica\\n\\nStrength\\n\\nEarnings growth over the past year exceeded the industry.\\n\\nCurrently debt free.\\n\\nWeakness\\n\\nNo major weaknesses identified for LULU.\\n\\nOpportunity\\n\\nAnnual earnings are forecast to grow for the next 3 years.\\n\\nGood value based on P\\\/E ratio and estimated fair value.\\n\\nSignificant insider buying over the past 3 months.\\n\\nThreat\\n\\nAnnual earnings are forecast to grow slower than the American market.\\n\\nMoving On:\\n\\nAlthough the valuation of a company is important, it is only one of many factors that you need to assess for a company. The DCF model is not a perfect stock valuation tool. Preferably you\u0027d apply different cases and assumptions and see how they would impact the company\u0027s valuation. For instance, if the terminal value growth rate is adjusted slightly, it can dramatically alter the overall result. For Lululemon Athletica, we\u0027ve compiled three relevant items you should look at:\\n\\nFinancial Health: Does LULU have a healthy balance sheet? Take a look at our free balance sheet analysis with six simple checks on key factors like leverage and risk. Future Earnings: How does LULU\u0027s growth rate compare to its peers and the wider market? Dig deeper into the analyst consensus number for the upcoming years by interacting with our free analyst growth expectation chart. Other High Quality Alternatives: Do you like a good all-rounder? Explore our interactive list of high quality stocks to get an idea of what else is out there you may be missing!\\n\\nPS. The Simply Wall St app conducts a discounted cash flow valuation for every stock on the NASDAQGS every day. If you want to find the calculation for other stocks just search here.\\n\\nHave feedback on this article? Concerned about the content?Get in touch with us directly. Alternatively, email editorial-team (at) simplywallst.com.\\r\\n\\r\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/calculating-intrinsic-value-lululemon-athletica-143154855.html\u0022,\u0022symbols\u0022:[\u00220JVT.LSE\u0022,\u002233L.BE\u0022,\u002233L.F\u0022,\u002233L.STU\u0022,\u0022L1UL34.SA\u0022,\u0022LULU.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.027,\u0022neu\u0022:0.793,\u0022pos\u0022:0.18},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-12-05\u0022,\u0022exception\u0022:null}"},{"id":1533,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022PAYS\u0022,\u0022stockName\u0022:\u0022PaySign Inc\u0022,\u0022stockExchange\u0022:\u0022US\u0022,\u0022duration\u0022:\u0022-2 years\u0022,\u0022lastCloseVal\u0022:3.665,\u0022terms\u0022:[\u0022paysign\u0022],\u0022srcData\u0022:{\u0022data\u0022:[{\u0022date\u0022:\u00222022-10-03 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00:00:00\u0022,\u0022week\u0022:\u00222024-39\u0022,\u0022value\u0022:4.15,\u0022paysign\u0022:null},{\u0022date\u0022:\u00222024-09-26 00:00:00\u0022,\u0022week\u0022:\u00222024-39\u0022,\u0022value\u0022:4.2,\u0022paysign\u0022:null},{\u0022date\u0022:\u00222024-09-27 00:00:00\u0022,\u0022week\u0022:\u00222024-39\u0022,\u0022value\u0022:3.86,\u0022paysign\u0022:64},{\u0022date\u0022:\u00222024-09-30 00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:3.67,\u0022paysign\u0022:null},{\u0022date\u0022:\u00222024-10-01 00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:3.64,\u0022paysign\u0022:null},{\u0022date\u0022:\u00222024-10-02 00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:3.665,\u0022paysign\u0022:61}],\u0022maxVal\u0022:5.48,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u0022PAYS\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022Paysign Inc\u0022,\u0022Exchange\u0022:\u0022NASDAQ\u0022,\u0022CurrencyCode\u0022:\u0022USD\u0022,\u0022CurrencyName\u0022:\u0022US Dollar\u0022,\u0022CurrencySymbol\u0022:\u0022$\u0022,\u0022CountryName\u0022:\u0022USA\u0022,\u0022CountryISO\u0022:\u0022US\u0022,\u0022OpenFigi\u0022:\u0022BBG000BR52Q9\u0022,\u0022ISIN\u0022:\u0022US70451A1043\u0022,\u0022LEI\u0022:null,\u0022PrimaryTicker\u0022:\u0022PAYS.US\u0022,\u0022CUSIP\u0022:\u002270451A104\u0022,\u0022CIK\u0022:\u00221496443\u0022,\u0022EmployerIdNumber\u0022:\u002295-4550154\u0022,\u0022FiscalYearEnd\u0022:\u0022December\u0022,\u0022IPODate\u0022:\u00221998-04-02\u0022,\u0022InternationalDomestic\u0022:\u0022Domestic\u0022,\u0022Sector\u0022:\u0022Technology\u0022,\u0022Industry\u0022:\u0022Software - Infrastructure\u0022,\u0022GicSector\u0022:\u0022Information Technology\u0022,\u0022GicGroup\u0022:\u0022Software \u0026 Services\u0022,\u0022GicIndustry\u0022:\u0022IT Services\u0022,\u0022GicSubIndustry\u0022:\u0022Internet Services \u0026 Infrastructure\u0022,\u0022HomeCategory\u0022:\u0022Domestic\u0022,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022Paysign, Inc. provides prepaid card programs, comprehensive patient affordability offerings, digital banking services, and integrated payment processing services for businesses, consumers, and government institutions. Its product offerings include solutions for corporate rewards, prepaid gift cards, general purpose reloadable debit cards, employee incentives, consumer rebates, donor compensation, clinical trials, healthcare reimbursement payments and pharmaceutical payment assistance, and demand deposit accounts accessible with a debit card. The company markets its prepaid card solutions under the Paysign brand. Its primary market focus is on companies and municipalities that require a streamlined payment solution for rewards, rebates, payment assistance, and other payments to their customers, employees, agents, and others. The company was formerly known as 3PEA International, Inc. and changed its name to Paysign, Inc. in April 2019. Paysign, Inc. was incorporated in 1995 and is headquartered in Henderson, Nevada.\u0022,\u0022Address\u0022:\u00222615 St. Rose Parkway, Henderson, NV, United States, 89052\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u00222615 St. Rose Parkway\u0022,\u0022City\u0022:\u0022Henderson\u0022,\u0022State\u0022:\u0022NV\u0022,\u0022Country\u0022:\u0022United States\u0022,\u0022ZIP\u0022:\u002289052\u0022},\u0022Listings\u0022:[],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Mark R. Newcomer\u0022,\u0022Title\u0022:\u0022Co-Founder, President, CEO \u0026 Chairman\u0022,\u0022YearBorn\u0022:\u00221965\u0022},{\u0022Name\u0022:\u0022Mr. Jeffery B. Baker\u0022,\u0022Title\u0022:\u0022CFO \u0026 Treasurer\u0022,\u0022YearBorn\u0022:\u00221971\u0022},{\u0022Name\u0022:\u0022Mr. Robert P. Strobo Esq.\u0022,\u0022Title\u0022:\u0022General Counsel, Chief Legal Officer \u0026 Corporate Secretary\u0022,\u0022YearBorn\u0022:\u00221980\u0022},{\u0022Name\u0022:\u0022Mr. Cosimo Cambi\u0022,\u0022Title\u0022:\u0022Chief Operating Officer\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. Brad Cunningham\u0022,\u0022Title\u0022:\u0022Chief Technology Officer\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. James McCroy\u0022,\u0022Title\u0022:\u0022Executive Vice President of Strategic Development\\\/IR\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. Eric Trudeau\u0022,\u0022Title\u0022:\u0022Chief Compliance Officer\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. Dennis M. DiVenuta J.D.\u0022,\u0022Title\u0022:\u0022Executive Vice President of Strategy \u0026 Corporate Development\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Alicia Ches\u0022,\u0022Title\u0022:\u0022Director of Marketing\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Ms. Joan M. Herman\u0022,\u0022Title\u0022:\u0022Executive VP of EFT Operations \u0026 Executive Director\u0022,\u0022YearBorn\u0022:\u00221957\u0022}],\u0022Phone\u0022:\u0022702 453 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Growth Stocks to Buy With $1,000 or You\\u2019ll Be Kicking Yourself in 2025\u0022,\u0022content\u0022:\u0022The broader market rally has left many investors wondering if there are any growth stocks to buy before a correction. I believe that there absolutely are. Despite the run-up, a number of high-potential growth stocks remain undervalued. Their fundamentals have only gotten stronger.\\n\\nI believe these stocks are poised for a major bounce-back over the next 12 months. Several have already begun to recover. Now may be the time to establish a position before they really take off.\\n\\nInvesting just $1,000 across these picks could generate market-beating returns. A few even have the potential to become multi-baggers. That means a relatively small investment today might lead to very sizable gains.\\n\\nInvestorPlace - Stock Market News, Stock Advice \u0026 Trading Tips\\n\\nHere are seven to look into:\\n\\nBombardier (BDRBF) BOMBARDIER sign is seen during the 12th China International Aviation and Aerospace Exhibition, also known as Airshow China 2018. BDRBD stock\\n\\nSource: testing \\\/ Shutterstock.com\\n\\nBombardier (OTCMKTS:BDRBF) designs and manufactures business jets for corporations, governments, and wealthy individuals. The Canadian aerospace company has been on a roll lately, with its stock price surging over 78% so far in 2024. I believe Bombardier is well-positioned to benefit from the ongoing boom in private aviation and increased defense spending.\\n\\nIn the first quarter, Bombardier grew its order backlog to $14.9 billion. The company also expanded margins and is on track to deliver 150-155 aircraft this year, up from 138 in 2023. Bombardier\\u2019s high-margin aftermarket service revenues jumped 13% year-over-year in Q1.\\n\\nAnalysts are quite bullish on the stock, with 8 out of 11 rating it a \\u201cBuy.\\u201d I personally believe that this stock could cross $100.\\n\\nLast week, Bombardier reached a new 3-year labor deal with its union, ending an 18-day strike. The company is also doing its part for the environment, installing thousands of solar panels to slash emissions at its London service center. Thus, the company looks poised to hit its 2025 targets of $9 billion in revenue and $1.6 billion in EBITDA, making it among the best growth stocks to buy.\\n\\nPaysign (PAYS) An image of two cellphones with coins flying from one screen into the other. Fintech Growth Stocks\\n\\nSource: kentoh\\\/Shutterstock\\n\\nPaysign (NASDAQ:PAYS) is a leading provider of prepaid card programs and integrated payment processing solutions. The company has been making waves lately with impressive financial results and a promising growth trajectory. In the first quarter of 2024, Paysign\\u2019s revenue surged 30% year-over-year to $13.2 million, beating analyst estimates. Net income turned positive at $309,000, a significant improvement from the net loss in the same period last year.\\n\\nI believe Paysign is well-positioned to capitalize on the megatrend of digital payments and the tailwinds of increasing healthcare spending. The company\\u2019s focus on the healthcare industry, particularly its rapidly expanding patient affordability business, sets it apart. It has a pipeline of new programs and partnerships with major pharmaceutical companies. As such, I\\u2019m not surprised to see that Paysign\\u2019s patient affordability revenue skyrocketed by 305% in Q1 2024.\\n\\nStory continues\\n\\nAnalysts are bullish on Paysign\\u2019s prospects. The stock is rated a strong buy with a 21% upside potential. As interest rate cuts take effect and transaction volumes rise, I expect Paysign\\u2019s growth to accelerate further.\\n\\nIAC (IAC) The logo for IAC is seen at the top of an office building.\\n\\nSource: Black Pebble \\\/ Shutterstock.com\\n\\nIAC (NASDAQ:IAC) is a media and internet company that owns brands like Dotdash Meredith, Care.com, and Angi. It also just inked a deal with OpenAI to license Dotdash Meredith\\u2019s trusted content like People, Food \u0026 Wine, and Better Homes \u0026 Gardens. This partnership should translate into high-margin profits as OpenAI pays IAC for the rights to enhance its AI models with this premium content.\\n\\nIn Q1 2024, IAC beat earnings estimates with earnings per share of -34 cents vs the -76 cents expected, though revenue of $929.68 million slightly missed estimates. Analysts seem to agree that IAC is on the right track, with TD Cowen reiterating a buy rating and a $78 price target, viewing IAC as significantly undervalued. Improving EPS should send the stock higher, even if revenue stays sluggish. Growth Stocks: IAC financial estimates\\n\\nClick to Enlarge\\n\\nSource: Chart courtesy of GuruFocus.com\\n\\nThe upside potential looks compelling if IAC can deliver on the promise of its OpenAI deal and other initiatives. Count me optimistic on IAC\\u2019s prospects to ride the AI megatrend to new heights in the category of growth stocks to buy.\\n\\nCelsius Holdings (CELH) three energy drinks contrasted against a white background\\n\\nSource: Shutterstock\\n\\nCelsius Holdings (NASDAQ:CELH) sells functional energy drinks and liquid supplements. The stock has plummeted nearly 50% from its 2024 highs amid concerns about slowing growth and high valuation.\\n\\nI believe this selloff is overdone and presents a compelling buying opportunity for long-term investors. Celsius is well-positioned to capitalize on the megatrends of health and wellness, functional beverages, and fitness. The company reported record Q1 revenue of $355.7 million, up 37% year-over-year, and expects to benefit from expanded distribution through its PepsiCo partnership.\\n\\nAnalysts forecast Celsius\\u2019 earnings per share to double over the next two years, with sales projected to increase around 30% annually through 2026. If Celsius can execute on these growth targets while riding the tailwinds of its key market trends, I see significant upside potential for the stock to bounce back strongly in the coming years. The recent dip looks like an attractive entry point for investors willing to hold through any near-term volatility. The analyst price target is also very bullish for a company of this size. CELH price target\\n\\nClick to Enlarge\\n\\nSource: Chart courtesy of GuruFocus.com\\n\\nAnd I can understand why: CELH financial estimates\\n\\nClick to Enlarge\\n\\nSource: Chart courtesy of GuruFocus.com\\n\\nOf course, risks remain. But for those who believe in Celsius\\u2019 long-term story, now may be the time to take a swig of this beaten-down beverage stock.\\n\\nSea Limited (SE) The logo for Sea Limited is seen on a web browser through a magnifying glass.\\n\\nSource: Postmodern Studio \\\/ Shutterstock.com\\n\\nSea Limited (NYSE:SE) is a tech conglomerate that operates in Southeast Asia. I\\u2019ve been bullish on this company for around a year now, and I\\u2019m pleased to see the stock making some positive moves recently. In Q1 2024, Sea posted a strong 23% year-over-year revenue growth to $3.7 billion, though it did report a net loss of $23 million. The company\\u2019s e-commerce arm, Shopee, achieved record high orders, GMV, and revenue, while its SeaMoney financial services business saw significant user growth. Sea\\u2019s gaming unit Garena also rebounded, with its Free Fire game being the most downloaded mobile game globally in Q1.\\n\\nI believe Sea remains well-positioned to be the \\u201cAmazon of Southeast Asia\\u201d with its strong market presence in the region\\u2019s fast-growing economies. Analysts are optimistic, projecting EPS to jump from $2 in 2024 to $5.65 in 2026, along with sustained double-digit revenue growth. While there may be short-term fluctuations, the long-term prospects for Sea look bright as it rides the tailwinds of e-commerce and gaming growth in Southeast Asia and is one of the best growth stocks to buy in the region.\\n\\nDirect Digital Holdings (DRCT) Close up hand holding mobile with Digital Advertising and icons, Digital Marketing concept. digital ad stocks\\n\\nSource: weedezign via Shutterstock\\n\\nDirect Digital Holdings (NASDAQ:DRCT) operates an advertising and marketing technology platform. The company\\u2019s stock has plunged nearly 87% since peaking in March, but I believe it may have bottomed out near its historical resistance level. At current prices, the potential upside outweighs the downside risk.\\n\\nAnalysts expect margins to expand swiftly, with EPS rising from 26 cents this year to 41 cents next year, accompanied by double-digit revenue growth. The company recently announced partnerships with Amazon Publisher Services and HPE GreenLake, which should attract more demand to its Colossus SSP platform and boost performance. Rate cuts could also boost earnings significantly due to its interest expenses being high. How Direct Digital Holdings Makes Its Money\\n\\nClick to Enlarge\\n\\nSource: Chart courtesy of GuruFocus.com\\n\\nThese positive catalysts make me believe Direct Digital Holdings could soar once again over the next year. The digital advertising megatrend provides a strong tailwind. And with its shares trading at a fraction of their March high, now may be an opportune time for risk-tolerant investors to start a position.\\n\\nATRenew (RERE) A concept image of mobile payment with a smart phone for a cup of coffee.\\n\\nSource: Shutterstock\\n\\nATRenew (NYSE:RERE) operates the largest pre-owned consumer electronics transactions and services platform in China. The company has been making strides lately, with total revenues growing 27.1% year-over-year to RMB3.65 billion in Q1 2024 and non-GAAP operating income reaching RMB80.2 million. I believe ATRenew\\u2019s stock\\u2014which has traded between $1-$3 for the past two years\\u2014is primed for a breakout in the next 12 months as fundamentals continue to improve.\\n\\nManagement is optimistic about future growth, citing increasing recycling opportunities driven by government action plans and rising demand for used products in China.\\n\\nPartnerships with major players like JD.com (NASDAQ:JD) and Apple (NASDAQ:AAPL) are fueling ATRenew\\u2019s product revenue growth. The company\\u2019s multi-category recycling business is also taking off, with transaction value quadrupling year-over-year in Q1. Analysts seem bullish, too \\u2013 Zacks recently introduced 2024 and 2025 adjusted EPS estimates of 25 cents and 38 cents for ATRenew, implying 90% growth this year and 50%+ next year.\\n\\nWith RMB2.6 billion in cash, a share buyback program underway, and potential dividends on the horizon, I think ATRenew trades well-positioned among growth stocks to buy in order to ride the tailwinds of China\\u2019s push toward a circular economy in the coming years.\\n\\nOn the date of publication, Omor Ibne Ehsan did not hold (either directly or indirectly) any positions in the securities mentioned in this article. The opinions expressed in this article are those of the writer, subject to the InvestorPlace.com\\u00a0Publishing Guidelines.\\n\\nOn the date of publication, the responsible editor did not have (either directly or indirectly) any positions in the securities mentioned in this article.\\n\\nOmor Ibne Ehsan is a writer at InvestorPlace. He is a self-taught investor with a focus on growth and cyclical stocks that have strong fundamentals, value, and long-term potential. He also has an interest in high-risk, high-reward investments such as cryptocurrencies and penny stocks. You can follow him on LinkedIn.\\n\\nMore From InvestorPlace\\n\\nLegendary Investor Predicts: \\u201cForget AI... THIS Technology Is the Future\\u201d\\n\\nThe post 7 Growth Stocks to Buy With $1,000 or You\\u00e2\\u0080\\u0099ll Be Kicking Yourself in 2025 appeared first on InvestorPlace.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/7-growth-stocks-buy-1-123000196.html\u0022,\u0022symbols\u0022:[\u00224LRA.F\u0022,\u0022931.F\u0022,\u0022931.STU\u0022,\u0022AAPL.US\u0022,\u0022BBD-A.TO\u0022,\u0022BBD-B.TO\u0022,\u0022BBD-PB.TO\u0022,\u0022BBD-PC.TO\u0022,\u0022BBD-PD.TO\u0022,\u0022BBD.F\u0022,\u0022BBDC.F\u0022,\u0022BDRAF.US\u0022,\u0022BDRBF.US\u0022,\u0022BDRPF.US\u0022,\u0022BDRXF.US\u0022,\u0022BOMBF.US\u0022,\u0022CELH.US\u0022,\u0022DRCT.US\u0022,\u0022IAC.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.019,\u0022neu\u0022:0.847,\u0022pos\u0022:0.134},\u0022time_elapsed_date\u0022:\u00222 months ago\u0022},{\u0022date\u0022:\u00222024-02-11T19:55:58+00:00\u0022,\u0022title\u0022:\u0022Insider Favorites: 7 Stocks with Bullish Buying Signals\u0022,\u0022content\u0022:\u0022While investors shouldn\\u2019t get too focused on any one signal, a great source of confidence stems from insider favorite stocks. As the old adage goes, it\\u2019s difficult to tell what insider selling means. After all, investors could exit a position for a number of reasons, including mundane ones including for tax purposes. However, insider buying points to a single logical conclusion: the buyers believe shares will move higher.\\n\\nDiscounting the idea of deliberate irrationality, everybody invests for one reason and one reason only: to make money. Obviously, you don\\u2019t get there by buying high and selling low. So, when you come across insider favorite stocks, that\\u2019s a powerful endorsement that the folks behind the enterprise are putting their money where their mouth is.\\n\\nAs well, investors have the confidence of knowing that insider buying represents transactions from those closest to the business. Additionally, there are opportunity costs involved. If insiders acquire shares, they can\\u2019t use that money for other reasons.\\n\\nInvestorPlace - Stock Market News, Stock Advice \u0026 Trading Tips\\n\\nIt\\u2019s a lot better than the opposite situation where a scandal forces a mass executive dumping scheme. On that note, below are insider favorite stocks to consider.\\n\\nRXO (RXO) trucking stocks Aerial Top View of White Semi Truck with Cargo Trailer Parking with Other Trucks on Special Parking Lot.\\n\\nSource: Gorodenkoff \\\/ Shutterstock.com\\n\\nBilled as a high-performing brokered transportation platform, RXO (NYSE:RXO) offers investors cutting-edge technologies and a nimble, asset-light business model. Per the company\\u2019s Form 10-K disclosure, RXO represents the fourth-largest broker of full truckload freight transportation in the U.S. based on 2021 revenues. Approximately, the enterprise commands 4% share of the $88 billion brokered truckload industry.\\n\\nIt\\u2019s a relatively new addition to the public market, being spun off from transportation company XPO (NYSE:XPO) in 2022. Interestingly, XPO has been on a meteoric run over the past 52 weeks, with management revealing better-than-expected fourth-quarter earnings results. In turn, RXO was receiving some residual love until it got hit by volatility despite beating fourth-quarter earnings estimates.\\n\\nStory continues\\n\\nStill, the high-conviction bulls don\\u2019t seem deterred, with RXO ranking among the insider favorite stocks. Earlier this month, MFN Partners bought 747,424 shares of the transportation platform. Currently, analysts rate shares a hold with an average price target of $21.88. That\\u2019s not encouraging. However, should economic metrics improve, demand could easily spill over into the trucking industry.\\n\\nPBF Energy (PBF) Rise in gasoline prices concept with double exposure of digital screen with financial chart graphs and oil pumps on a field. Oil prices and oil price predictions\\n\\nSource: Golden Dayz \\\/ Shutterstock.com\\n\\nOn the surface, PBF Energy (NYSE:PBF) might not seem an ideal trade with which to follow the smart money. Sure, it\\u2019s one of the ideas benefiting from insider buying. However, as a petroleum refining and logistics company, PBF suffers from broader questions. For one thing, oil-producing nations efforts to artificially lift the price of crude via production cuts haven\\u2019t exactly panned out.\\n\\nSecond, the economy has suffered from the double whammy of elevated inflation and high interest rates. With people pulling back on their discretionary spending, you\\u2019d think PBF may encounter resistance. So far, though, the opposite has been true this year. That\\u2019s been helped by a significant volume of insider buying that occurred last month.\\n\\nDespite major concerns, the economy has proven resilient, especially the labor market. So long as more money chases after fewer goods, the hydrocarbon space should benefit. Even better, PBF trades at a discount to earnings and sales. Analysts view shares as a consensus moderate buy with the high-side target coming in at $63. Therefore, it makes a solid case for insider favorite stocks.\\n\\nCompass Diversified (CODI) man in suit holding a tablet with graphic above showing oversold stocks to buy\\n\\nSource: undefined undefined \\\/ Getty Images\\n\\nStructured as a holding company, Compass Diversified (NYSE:CODI) aims to provide its shareholders with unique access to niche middle-market businesses. Per its website, this is an attractive segment of the market historically reserved for private equity or other legacy players. From the company\\u2019s Form 10-K, it acquires controlling interest in and actively manages businesses that it believes operate in industries with long-term macro opportunities and enjoy positive and stable cash flows, among other attributes.\\n\\nIn some ways, investing in an enterprise like Compass offers the best of both worlds. On one hand, you can invest in CODI like any other public equity. And on the other side, this company leverages its expertise to find true hidden gems that normally wouldn\\u2019t be available to regular retail investors. Adding to this attractive narrative, CODI also ranks among the recent insider favorite stocks.\\n\\nAccording to TipRanks, its insider confidence signal pings as \\u201cpositive.\\u201d Specifically, several key individual insiders have been acquiring shares over the last few weeks. Also, Bank of America Securities\\u2019 Derek Hewett pegs CODI a \\u201cbuy\\u201d with a $27 price target.\\n\\nOccidental Petroleum (OXY) A magnifying glass zooms in on the Occidental Petroleum website.\\n\\nSource: Pavel Kapysh \\\/ Shutterstock.com\\n\\nOne of the top-tier hydrocarbon specialists, Occidental Petroleum (NYSE:OXY) engages in exploration projects in the U.S. and the Middle East. As well, it conducts petrochemical manufacturing in the U.S., Canada and Chile. As a largely upstream player, Occidental might not seem relevant amid the push for clean and renewable energy sources. However, the harsh reality is that the world runs on oil and it may continue doing so.\\n\\nOne person who believes in this (I suppose) contrarian narrative is Warren Buffett. Through his Berkshire Hathaway (NYSE:BRK-B) conglomerate, Buffett acquired a significant number of OXY shares this month. As well, the Oracle of Omaha indulged in an Occidental shopping spree, buying up tons of shares. That\\u2019s not to say that Buffett doesn\\u2019t believe in electric vehicles and whatnot. However, he\\u2019s being sensible.\\n\\nHydrocarbons command superior energy density. And their infrastructure is largely already laid out. Other analysts also agree with the Oracle, rating shares a consensus moderate buy. The average price target lands at $68.40, making OXY one of the top insider favorite stocks.\\n\\nEdgewise Therapeutics (EWTX) OLK Stock. Modern Medical Research Laboratory: Two Scientists Wearing Face Masks use Microscope, Analyse Sample in Petri Dish, Talk. Advanced Scientific Lab for Medicine, Biotechnology. Blue Color. KZR stock. RSLS stock\\n\\nSource: Gorodenkoff \\\/ Shutterstock.com\\n\\nA clinical-stage biopharmaceutical company, Edgewise Therapeutics (NASDAQ:EWTX) focuses on creating novel precision medicines for the treatment of rare muscle disorders. Per its website, Edgewise leverages its intimate knowledge of integrated muscle physiology at a whole-body level, enabling the company to develop innovative solutions for impacted patients. Recently, EWTX skyrocketed amid key insider buying.\\n\\nAccording to data from Fintel, Orbimed Advisors earlier this year bought up 454,545 shares of EWTX. Before the transaction, EWTX soared from below $10 to almost $16. And from there, shares soon started to knock on $20 territory. To be fair, other insiders decided to sell their holdings around the same time. However, the size of Orbimed\\u2019s transaction \\u2013 almost $5 million \\u2013 dwarfed the nearby informative sell orders.\\n\\nLooking at Edgewise\\u2019s financials, it doesn\\u2019t exactly have the greatest print. However, the company commands robust strengths in the balance sheet. In particular, its cash-to-debt ratio comes in at 52.39X. As for Wall Street\\u2019s experts, EWTX represents a unanimous strong buy with a $25 average price target.\\n\\nPaySign (PAYS) hand using online banking and icon on tablet screen device in coffee shop\\n\\nSource: PopTika \\\/ Shutterstock\\n\\nBased in Henderson, Nevada, PaySign (NASDAQ:PAYS) offers customized, end-to-end solutions to complicated payment problems. To address cardholder needs, PaySign offers 24\\\/7 customer care. As well, its website claims it provides 100% bilingual support. Moreover, the company serves multiple industries, including healthcare, retail, and hospitality, among others. While it hasn\\u2019t enjoyed the best performance in 2023 overall, it\\u2019s been on a blistering run since late October.\\n\\nAccording to Fintel, on Feb. 6, Topline Capital Management acquired a total of 77,088 shares. A day earlier, the firm bought 43,607 shares. And a few days before that, it purchased 30,149 shares. And that wasn\\u2019t the only transaction this year. In January, it acquired several thousand shares as PAYS went on an unbelievable run.\\n\\nTo be sure, the concept of buying into such extreme upside momentum \\u2013 even if it\\u2019s one of the insider favorite stocks \\u2013 is daunting. Nobody wants to hold the bag. However, analysts rate shares a unanimous strong buy with a $4.33 average price target. Thus, this insider buying could take things higher still.\\n\\nAkoustis Technologies (AKTS) Business man using computer hand close up futuristic cyber space decentralized finance coding background, business data analytics programming online VPN network metaverse digital world technology. tech stocks\\n\\nSource: thinkhubstudio \\\/ Shutterstock.com\\n\\nA literal penny stock, prospective investors need to be extremely careful with Akoustis Technologies (NASDAQ:AKTS). If the share price wasn\\u2019t enough to frighten you, the ugly 52-week performance might. Just to provide some context, in February of last year, AKTS traded hands above four bucks. That\\u2019s just an astounding collapse.\\n\\nAt the same time, insider buying in Akoustis demonstrates that the top dogs see something here. Specifically, at the end of last month, four insiders collectively acquired 1.5 million shares of AKTS. That might seem rash until you realize Akoustis\\u2019 core business. Per its website, the company seeks to revolutionize the radio frequency (RF) filter industry.\\n\\nThrough the targeting of high-power, high-frequency and ultra-wideband solutions for various connectivity applications, Akoustis enjoys relevance for the burgeoning 5G infrastructure and mobile buildout. And this could be lucrative for AKTS, with the global 5G services market size projected to hit over $2.2 trillion in value by 2030.\\n\\nIn turn, analysts peg shares a consensus moderate buy with a $1 average price target.\\n\\nOn Penny Stocks and Low-Volume Stocks: With only the rarest exceptions,\\u00a0InvestorPlace\\u00a0does not publish commentary about companies that have a market cap of less than $100 million or trade less than 100,000 shares each day. That\\u2019s because these \\u201cpenny stocks\\u201d are frequently the playground for scam artists and market manipulators. If we ever do publish commentary on a low-volume stock that may be affected by our commentary, we demand that InvestorPlace.com\\u2019s\\u00a0writers disclose this fact and warn readers of the risks.\\n\\nRead More: Penny Stocks \\u2014\\u00a0How to Profit Without Getting Scammed\\n\\nOn the date of publication, Josh Enomoto did not have (either directly or indirectly) any positions in the securities mentioned in this article. The opinions expressed in this article are those of the writer, subject to the InvestorPlace.com Publishing Guidelines.\\n\\nA former senior business analyst for Sony Electronics, Josh Enomoto has helped broker major contracts with Fortune Global 500 companies. Over the past several years, he has delivered unique, critical insights for the investment markets, as well as various other industries including legal, construction management, and healthcare. Tweet him at @EnomotoMedia.\\n\\nMore From InvestorPlace\\n\\nThe #1 AI Investment Might Be This Company You\\u2019ve Never Heard Of Musk\\u2019s \\u201cProject Omega\\u201d May Be Set to Mint New Millionaires. Here\\u2019s How to Get In.\\n\\nThe post Insider Favorites: 7 Stocks with Bullish Buying Signals appeared first on InvestorPlace.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/insider-favorites-7-stocks-bullish-195558448.html\u0022,\u0022symbols\u0022:[\u00220KE0.LSE\u0022,\u0022AKTS.US\u0022,\u0022CODI.US\u0022,\u0022EWTX.US\u0022,\u0022OXY.US\u0022,\u0022PAYS.US\u0022,\u0022PBF.US\u0022,\u0022PEN.F\u0022,\u0022PEN.STU\u0022,\u0022RXO.US\u0022,\u0022XPO.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.03,\u0022neu\u0022:0.826,\u0022pos\u0022:0.144},\u0022time_elapsed_date\u0022:\u00227 months ago\u0022},{\u0022date\u0022:\u00222023-11-21T14:37:00+00:00\u0022,\u0022title\u0022:\u00227 Penny Stocks You\\u2019ll Regret Not Buying Soon: November 2023\u0022,\u0022content\u0022:\u0022In the ever-evolving investment landscape, penny stocks to buy emerge as the thrill-seekers\\u2019 darlings. Known for their high-risk, high-reward nature, these stocks attract investors with their low share prices and the promise of substantial gains. Furthermore, these stocks mirror current growth trends in various industries, demonstrating resilience in a tumultuous economy. Among them, certain standouts are well-positioned to evolve amidst rising interest rates.\\n\\nThe appeal of these stocks extends further. They can rebound emphatically when heavily shorted, rewarding those who invest judiciously during their undervalued phases. Amidst market volatility, investors, eager for robust returns, are increasingly drawn to these dynamic penny stocks. Their potential for rapid expansion makes them an enticing addition to portfolios seeking a zest of high-stakes excitement.\\n\\nPenny Stocks to Buy: Ballard Power Systems (BLDP) Ballard Power Systems Inc logo visible on display screen\\n\\nSource: Pavel Kapysh \\\/ Shutterstock.com\\n\\nBallard Power Systems (NASDAQ:BLDP)\\u00a0is first on the list of penny stocks to buy. It\\u2019s is a leading fuel-cell manufacturer, carving a niche in heavy automotives and portable energy solutions. Unlike others negatively influenced by the whims of retail consumer demand, Ballard efficiently targets enterprise clients, offering stability amidst market fluctuations. This strategy is proving its worth, as seen in the recent acquisition of a landmark order for 177 hydrogen fuel cell engines intended for European buses, marking a massive leap in the continent\\u2019s hydrogen fuel-powered transport industry.\\n\\nInvestorPlace - Stock Market News, Stock Advice \u0026 Trading Tips\\n\\nConcerns over Ballard\\u2019s rapid cash burn linger, yet the latest earnings report reveals a strategic approach to minimize this issue. Furthermore, Ballard\\u2019s debt-free balance sheet is a testament to its prudence, proving valuable in the current high-interest rate environment. This combination of strategic client focus and financial caution positions the company as a top-tier player in the evolving energy sector.\\n\\nStory continues\\n\\nArdelyx (ARDX)\\n\\nSource: Shutterstock\\n\\nArdelyx (NASDAQ:ARDX), a biotech innovator, is arguably one of the best picks among penny stocks to buy. Its powerful portfolio, featuring IBSRELA for IBS-C and XPHOZAH for chronic kidney disease, positions it at the forefront of medical breakthroughs. The firm\\u2019s commitment to developing first-in-class treatments, including the promising compound RDX013, strengthens its appeal to biotech and penny stock market investors.\\n\\nThe company\\u2019s recent financial performance underscores its potential. Ardelyx\\u2019s shares spiked by about 10% after its third quarter results beat Wall Street predictions, thanks to Ibsrela. With a stunning revenue jump to $56.4 million from $5 million in the prior-year period, it was smashing expectations by an impressive $33.8 million. This growth trajectory, mainly the U.S. net sales of Ibsrela reaching $22.3 million, up from $4.9 million, reflects an impressive increase in new and repeat prescriptions.\\n\\nCEO Mike Raab\\u2019s remarks about the steady rise in prescriptions underscore the market\\u2019s growing trust in Ardelyx\\u2019s products. With the upcoming launch of Xphozah and the revised upward full-year U.S. net sales outlook to between $76 million and $78 million, Ardelyx is showing no signs of slowing down. This robust performance and promising future developments have positioned the firm as a standout choice for those seeking high-potential biotech penny stocks.\\n\\nPenny Stocks to Buy: Overseas Shipholding Group (OSG) a ship at a port in the ocean\\n\\nSource: Shutterstock\\n\\nOverseas Shipholding Group (NYSE:OSG) recently unveiled impressive third quarter results, charging ahead in the oil transportation sector. With a net income of $17.6 million and a notable 13.7% rise in adjusted EBITDA, OSG is navigating the high seas of the business with considerable aplomb. This positive trend is buoyed by rising energy prices and the firm\\u2019s diverse fleet, including Suezmax tankers and tugboats, facilitating efficient oil transition to onshore facilities.\\n\\nSimultaneously, OSG\\u2019s stock has mirrored this upward journey, climbing over 70% year-to-date, powered by a robust tanker sphere and savvy corporate moves. The keys to the strategic repurchase of shares and warrants amplify the stock\\u2019s growth. Furthermore, OSG has been incredibly prudent with its cash flow, investing in share buybacks and securing warrants while streamlining its financial structure. Adding to its fleet of achievements, OSG\\u2019s acquisition of the Alaskan Frontier tanker signifies a commitment to sustainability. The $50 million investment to refurbish and upgrade the vessel underscores the company\\u2019s dedication to eco-friendly practices. Moreover, the blend of strategic growth, financial health, and environmental responsibility positions Overseas Shipholding Group as an attractive buy at current price levels.\\n\\nNordic American Tankers (NAT) On board on a suezmax tanker, NAT operates tankers like this one\\n\\nSource: Vallehr \\\/ Shutterstock.com\\n\\nNordic American Tankers (NYSE:NAT), a leading operator in maritime oil transportation, is in the news following a nod of approval from Jefferies. The firm believes Nordic American is set to benefit from surging mid-size tanker rates driven by higher Atlantic Basin cargo volumes.\\n\\nHighlighting the favorable market conditions, Nordic reported an average time charter rate of $39,300 per day per ship for the second quarter, a record high in the firm\\u2019s history. This performance has translated into robust cash flows, evidenced by an adjusted EBITDA of $47.2 million on sales of $99.1 million.\\n\\nNotably, Nordic\\u2019s net debt per vessel stands at $8.4 million, signaling room for financial maneuvers, whether deleveraging or expanding its fleet. The company\\u2019s 2023 performance has been impressive, posting a net income of $73.7 million in the first half, starkly contrasting the $31 million loss a year ago. Furthermore, Nordic American Tankers presents a compelling investment case in its niche with a remarkable 12% dividend yield and a five-year growth rate of 40%.\\n\\nPenny Stocks to Buy: Paysign (PAYS) A concept image of mobile payment with a smart phone for a cup of coffee.\\n\\nSource: Shutterstock\\n\\nIn the dynamic fintech landscape, Paysign (NASDAQ:PAYS) is likely to rebound emphatically. After a post-pandemic slump, the stock trades at a rather attractive 2.8 times forward sales estimates, riding the wave of the healthcare sector\\u2019s recovery. PaySign\\u2019s niche in providing prepaid card solutions for pharmaceutical copays and plasma donations offers a robust base for its business model. Thanks to long-term client relationships, this strategy should result in consistent revenue streams and strong cash flows.\\n\\nThe company\\u2019s venture into the patient affordability segment shows exceptional promise, with revenues more than doubling and challenging established players. PaySign\\u2019s recent financial results underscore this positive trajectory, with a 28% increase in revenue year-over-year. The company\\u2019s expansion of payment programs, expected to reach 40-50 by year-end, further solidifies its growth prospects. Hence, PaySign has reemerged as a compelling investment in the fintech sphere.\\n\\nPHX Minerals (PHX) TELL stock: a row of natural gas tanks pictured in the evening. Natural gas stocks\\n\\nSource: Shutterstock\\n\\nPHX Minerals (NYSE:PHX) is a standout in the natural resources sphere, recently reporting a remarkable financial comeback. Moreover, the company achieved a net income of $1.9 million in its most recent quarter, marking a significant shift from a previous loss. This rebound is reflected in an adjusted EBITDA of $6.3 million, showcasing the firm\\u2019s efficient operational performance amidst growing production.\\n\\nCentral to PHX\\u2019s allure as a penny stock is its recent acquisition of 988 net royalty acres, poised to increase cash flow per share and significantly expand the company\\u2019s mineral and royalty positions. Simultaneously, PHX is dedicated to slashing general and administrative expenses by approximately 13% next year, emphasizing operational efficiency and sustainable profitability. Despite rejecting an unsolicited merger bid from WhiteHawk Energy, this event hints at PHX\\u2019s potential undervaluation.\\n\\nPitney Bowes (PBI) The office logo for Pitney Bowes on a glass building.\\n\\nSource: JHVEPhoto \\\/ Shutterstock.com\\n\\nPitney Bowes (NYSE:PBI) remains a powerhouse in mailing solutions, emerging as a compelling option among penny stocks to buy with a vision for sustainable growth ahead. Renowned for its innovative tech and financial services, enhancing shipping and mailing processes for businesses, the company is moving toward acceleration. Despite experiencing some financial ups and downs, the company\\u2019s future looks promising.\\n\\nThe recent departure of CEO Marc Lautenbach marks a potential turning point, with Hestia Capital ready to implement a transformative strategy to turn things around for the business. The goal remains to focus on cost reduction and investment in growing subsidiaries while divesting from less profitable segments. The company\\u2019s recent earnings report is encouraging, with a third quarter Non-GAAP EPS exceeding expectations by two cents and revenue of $784 million surpassing forecasts. Additionally, Pitney Bowes is ahead of its restructuring plan, aiming for significant annual savings by the end of 2024. Reflecting these positive developments, PBI\\u2019s stock has surged 22% in the past six months.\\n\\nOn the date of publication, Muslim Farooque did not have (either directly or indirectly) any positions in the securities mentioned in this article.\\u00a0The opinions expressed in this article are those of the writer, subject to the InvestorPlace.com\\u00a0Publishing Guidelines.\\n\\nMuslim Farooque is a keen investor and an optimist at heart. A life-long gamer and tech enthusiast, he has a particular affinity for analyzing technology stocks. Muslim holds a bachelor\\u2019s of science degree in applied accounting from Oxford Brookes University.\\n\\nMore From InvestorPlace\\n\\nChatGPT IPO Could Shock the World, Make This Move Before the Announcement Musk\\u2019s \\u201cProject Omega\\u201d May Be Set to Mint New Millionaires. Here\\u2019s How to Get In. The Rich Use This Income Secret (NOT Dividends) Far More Than Regular Investors\\n\\nThe post 7 Penny Stocks You\\u2019ll Regret Not Buying Soon: November 2023 appeared first on InvestorPlace.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/7-penny-stocks-ll-regret-143700316.html\u0022,\u0022symbols\u0022:[\u002241X.F\u0022,\u0022ARDX.US\u0022,\u0022B3O.F\u0022,\u0022BLDP.TO\u0022,\u0022BLDP.US\u0022,\u0022NAT.US\u0022,\u0022OSG.US\u0022,\u0022PAYS.US\u0022,\u0022PBI.US\u0022,\u0022PHX.US\u0022,\u0022PO0.F\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.014,\u0022neu\u0022:0.82,\u0022pos\u0022:0.166},\u0022time_elapsed_date\u0022:\u002210 months ago\u0022},{\u0022date\u0022:\u00222023-09-17T14:54:37+00:00\u0022,\u0022title\u0022:\u002215 Penny Stocks with Biggest Upside\u0022,\u0022content\u0022:\u0022In this article, we will take a look at the 15 penny stocks with biggest upside. To see more such companies, go directly to 5 Penny Stocks with Biggest Upside.\\n\\nEveryone wants to find stocks with upside. But the stock market turmoil that started back in 2022 amid rising inflation and interest rate hikes has shown the importance of managing risks and investing wisely in stocks for the long term. Value investors like Warren Buffett and Howard Marks time and again talk about the concept of downside protection, emphasizing that one of the biggest goals during investing should be not to lose money. A 2016 report entitled \\u201cThe Upside of Less Downside\\u201d by Alliance Bernstein talks about a similar concept. The report said that at the time that the fear of losing money is rapidly increasing worldwide amid changing demographics. As global population begins to age, people are hesitant to take risks and put large amounts of money in equities because they don\\u2019t want to lose their safety nets during retirement. The report then talks about a 90\\\/70 upside\\\/downside portfolio and says:\\n\\n\\u201cImagine a hypothetical global stock portfolio that captured 90% of every market rally and fell only 70% as much as the market during every sell-off. What would the long-term returns of this portfolio look like? You\\u2019d be forgiven if you thought it would underperform. It wouldn\\u2019t.\\u201d\\n\\n\\\u0022Smoother Ride\\\u0022 Portfolio\\n\\nThe report calls the portfolio of upside\\\/downside protection as \\u201csmoother ride\\u201d portfolio. The report analyzes a hypothetical portfolio based on this strategy and says that the portfolio would build capital of nearly US$13,000 over the period examined. The examined period spanned over 40 years through the end of June.\\n\\nThe report however points out some caveats and challenges of having a 90%\\\/70% upside\\\/downside spread approach. First, it\\u2019s not easy at all to stick to such a portfolio especially when markets are rising. Investing in low-risk stocks means you are missing out on stock returns when the overall market is in euphoria. But the true mettle of this portfolio is visible during tough times, when markets are down and the downside protected, low risk portfolio is outperforming the market. The report also said that finding low-risk stocks is not easy. While Alliance Bernstein said it believes in investing in resilient companies with strong business models and attractive prices, the firm acknowledged that it\\u2019s easier said than done. The report also mentions some data on why investing in low-risk stocks makes sense.\\n\\nStory continues\\n\\n\\u201cResearch going back to the early 1970s shows that lower-risk stocks, as measured by beta, performed much better than the CAPM would predict. By focusing on absolute risk (a.k.a. the Sharpe ratio), the long-term returns of strategies with less volatile stocks have matched or outperformed the market and more aggressive equity strategies over four decades. Based on Sharpe ratios, lower-risk stocks have delivered significantly more return per unit of risk.\\u201d\\n\\nHow to Find Resilient Companies to Invest In\\n\\nThe report also gives examples of resilient and strong businesses. It talks about companies like Alphabet and Amadeus. It also talks about software companies that provide tools and systems for mission critical applications. Once these software are installed in companies\u0027 systems it becomes difficult for the firms to make a shift. The report emphasizes the importance of disruption and evaluating \\u201cnetwork effect\\u201d while finding strong and resilient businesses. Penny Stocks with Biggest Upside\\n\\nPixabay\\\/Public Domain\\n\\nOur Methodology\\n\\nFor this article, we consulted over 10 mainstream financial websites to see which penny stocks they believe have the biggest upside. We picked only those penny stocks that are repeatedly talked about in the mainstream financial media as companies having long-term growth potential and upside. The list is ranked in ascending order of the number of hedge fund investors. We gauged hedge fund sentiment using Insider Monkey\\u2019s database of 910 hedge funds and their holdings.\\n\\nPenny Stocks with Biggest Upside According to Financial News Media\\n\\n15. Bit Digital, Inc. (NASDAQ:BTBT)\\n\\nNumber of Hedge Fund Holders: 4\\n\\nBitcoin mining company Bit Digital, Inc. (NASDAQ:BTBT) ranks 15th in our list of penny stocks with upside potential. As of the end of the second quarter of 2023, 4 hedge funds tracked by Insider Monkey had stakes in Bit Digital, Inc. (NASDAQ:BTBT). Bit Digital, Inc. (NASDAQ:BTBT) produced 139 bitcoins (BTC-USD) in August, which was a 5% increase from July,\\n\\n14. Canaan Inc. (NASDAQ:CAN)\\n\\nNumber of Hedge Fund Holders: 4\\n\\nChinese hardware company Canaan Inc. (NASDAQ:CAN) is one of the notable penny stocks with upside potential. Last month Canaan Inc. (NASDAQ:CAN) posted second quarter results. GAAP EPS in the quarter came in at -$0.65 missing estimates by $0.51. Revenue in the quarter came in at $73.9 million, beating estimates by $3.03 million. Bitcoin mining revenues jumped 43.3% on a QoQ basis.\\n\\nAs of the end of the second quarter of 2023, 4 hedge funds in Insider Monkey\\u2019s database of hedge funds had stakes in Canaan Inc. (NASDAQ:CAN).\\n\\n13. Paysign, Inc. (NASDAQ:PAYS)\\n\\nNumber of Hedge Fund Holders: 6\\n\\nPrepaid card products company Paysign, Inc. (NASDAQ:PAYS) ranks 13th in our list of the penny stocks with the biggest upside. Last month Paysign, Inc. (NASDAQ:PAYS) posted second quarter results. Revenue of the company jumped about 28% year over year to $11 million.\\n\\nA total of 6 hedge funds in Insider Monkey\\u2019s database reported owning stakes in Paysign, Inc. (NASDAQ:PAYS). The biggest stakeholder of Paysign, Inc. (NASDAQ:PAYS) during this period was Citadel Investment Group of Ken Griffin which had a $595,632 stake in Paysign, Inc. (NASDAQ:PAYS).\\n\\n12. Smith Micro Software, Inc. (NASDAQ:SMSI)\\n\\nNumber of Hedge Fund Holders: 6\\n\\nSmith Micro Software, Inc. (NASDAQ:SMSI) is an enterprise and consumer software company. This penny stock has upside potential, according to credible financial websites and analysts surveyed by Insider Monkey. Last month Smith Micro Software, Inc. (NASDAQ:SMSI) posted second quarter results. Adjusted EPS in the quarter came in at -$0.01, meeting estimates. Revenue in the quarter fell 18.4% year over year to $10.34 million, missing estimates by $0.32 million.\\n\\n11. Science 37 Holdings, Inc. (NASDAQ:SNCE)\\n\\nNumber of Hedge Fund Holders: 8\\n\\nClinical research company Science 37 Holdings, Inc. (NASDAQ:SNCE) ranks 11th in our list of penny stocks with the biggest upside according to financial media.\\n\\nScience 37 Holdings, Inc. (NASDAQ:SNCE)\\u2019s management talked about its guidance and future plans in the latest earnings call and said:\\n\\n\\\u0022And we expect our fourth quarter to be sequentially higher on a revenue basis based on the timing of our new study starts and project ramps. While we will hold off providing 2024 guidance until a later date, given our current momentum and facility, we expect solid continuing revenue growth in 2024. Turning to our gross margin guidance we indicated during our last quarterly earnings call that we expected adjusted gross margins to improve from the low 20% range in the first quarter of 2023 to the low to mid-30% range in the second half of 2023. We achieved the top end of that range at 36% in the second quarter, and we expect to stay in the mid-30% range for the remainder of this year. On the first quarter earnings call, we also indicated we expected to see a sequential reduction in SG\u0026A and a more dramatic reduction in cash burn exiting the fourth quarter with a cash burn of less than $10 million.\\n\\nAs David noted, we are tracking ahead of this from an expectation standpoint and now anticipate our cash burn in the third quarter to be less than $10 million, 1 quarter ahead of schedule. We expect our cash burn for the full second half of 2023 to be less than $15 million, thus exiting 2023, with more than $50 million of cash on hand. As we progress into 2024, we expect our investments in technology, further increases in utilization and continued process improvements to help us expand quarterly gross margins to 40% or greater delivering a higher gross profit on a relatively fixed level of SG\u0026A, and thereby ending the fourth quarter of 2024 with positive adjusted EBITDA and cash flow, exiting that year with ample cash on hand, without needing to have raised additional capital.\\\u0022\\n\\nRead the full earnings call transcript here.\\n\\nAs of the end of the second quarter of 2023, 8 hedge funds in Insider Monkey\\u2019s database of hedge funds reported owning stakes in Science 37 Holdings, Inc. (NASDAQ:SNCE). The biggest\\n\\n10. CorMedix Inc. (NYSE:CRMD)\\n\\nNumber of Hedge Fund Holders: 9\\n\\nNew Jersey-based biopharmaceutical company CorMedix Inc. (NYSE:CRMD) ranks 10th in our list of the penny stocks with upside potential according to credible financial websites.\\n\\nInsider Monkey\\u2019s database of 910 hedge funds shows that 9 funds reported owning stakes in CorMedix Inc. (NYSE:CRMD). The biggest hedge fund stakeholder of CorMedix Inc. (NYSE:CRMD) was Paul Singer\\u2019s Elliott Management which had a $6.15 million stake in the company as of the end of June.\\n\\n9. Savara, Inc. (NASDAQ:SVRA)\\n\\nNumber of Hedge Fund Holders: 10\\n\\nTexas-based Savara, Inc. (NASDAQ:SVRA) works on treatments for respiratory diseases. As of the end of the second quarter of 2023, 10 hedge funds tracked by Insider Monkey had stakes in Savara, Inc. (NASDAQ:SVRA).\\n\\n8. VAALCO Energy, Inc. (NYSE:EGY)\\n\\nNumber of Hedge Fund Holders: 11\\n\\nInsider Monkey\\u2019s database of 910 hedge funds shows that 11 hedge funds had stakes in VAALCO Energy, Inc. (NYSE:EGY). The biggest stakeholder of VAALCO Energy, Inc. (NYSE:EGY) was George Baxter\\u2019s Sabrepoint Capital which owns a $10 million stake in the company.\\n\\n7. Ardelyx Inc. (NASDAQ:ARDX)\\n\\nNumber of Hedge Fund Holders: 14\\n\\nArdelyx Inc. (NASDAQ:ARDX) shares have gained about 71% year to date through September 11.\\n\\nA total of 14 hedge funds in Insider Monkey\\u2019s database of hedge funds had stakes in Ardelyx Inc. (NASDAQ:ARDX). The most significant stake in Ardelyx Inc. (NASDAQ:ARDX) was owned by\\n\\n6. Solid Power, Inc. (NASDAQ:SLDP)\\n\\nNumber of Hedge Fund Holders: 16\\n\\nCredible financial websites and analysts we surveyed believe Solid Power, Inc. (NASDAQ:SLDP) is a penny stock that has upside potential.\\n\\nAs of the end of the June quarter, 16 hedge funds in Insider Monkey\\u2019s database of hedge funds had stakes in Solid Power, Inc. (NASDAQ:SLDP). The biggest hedge fund stakeholder of Solid Power, Inc. (NASDAQ:SLDP) was\\n\\nClick to continue reading and see 5 Penny Stocks with Biggest Upside.\\n\\nSuggested articles:\\n\\n30 Most Valuable Currencies in the World in 2023 12 Best Technology ETFs To Buy 25 Countries with the Highest Cryptocurrency Ownership\\n\\nDisclosure: None. 15 Penny Stocks with Biggest Upsideis originally published on Insider Monkey.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/15-penny-stocks-biggest-upside-145437198.html\u0022,\u0022symbols\u0022:[\u002241X.F\u0022,\u0022ARDX.US\u0022,\u0022BTBT.US\u0022,\u0022CAN.US\u0022,\u0022CRMD.US\u0022,\u0022EGY.US\u0022,\u0022PAYS.US\u0022,\u0022SLDP.US\u0022,\u0022SMSI.US\u0022,\u0022SNCE.US\u0022,\u0022SVRA.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.996,\u0022neg\u0022:0.037,\u0022neu\u0022:0.885,\u0022pos\u0022:0.078},\u0022time_elapsed_date\u0022:\u00221 year ago\u0022},{\u0022date\u0022:\u00222023-09-11T11:00:15+00:00\u0022,\u0022title\u0022:\u00223 Penny Stocks to Invest In for Big-Time, Long-Term Gains\u0022,\u0022content\u0022:\u0022In this market, many\\u00a0penny stocks continue to remain beaten down. That said, while I don\\u2019t expect each and every speculative penny stock to surge higher like they did in 2021, select penny stocks still offer tremendous upside. Of course, I wouldn\\u2019t suggest betting the farm on most penny stocks. However, a small position in the right companies could quickly multiply your money.\\n\\nIn my experience, having patience and discipline is critical when investing in more speculative corners of the market. With strong fundamentals, some cheap stocks have all the ingredients for delivering big-time, long-term gains. Here are three investors should consider right now.\\n\\nBlade Air Mobility (BLDE) The Blade Air Mobility (BLDE) logo displayed on a smartphone screen.\\n\\nSource: Wirestock Creators \\\/ Shutterstock.com\\n\\nBlade Air Mobility (NASDAQ:BLDE) runs an \\u201cair taxi\\u201d service utilizing helicopters, seaplanes, and small jets. The company flies people directly between congested cities and airports for a fee. Blade wants to eventually switch to electric vertical takeoff planes that are quiet and emission-free.\\n\\nInvestorPlace - Stock Market News, Stock Advice \u0026 Trading Tips\\n\\nOne of the reasons why I\\u2019m so bullish on this business is that it has a track record of delivering hefty beats on its top line. The company posted positive revenue surprises of 11.74% in Q1 and 13.26% in Q2. Even with these surprises out of the equation, analysts expect 57% top-line growth this year, which should settle around 18% through 2025 before moderating further. The company\\u2019s recent Q2 earnings showed revenue grew 71% year-over-year, driven by strong growth in both passenger and medical transport segments.\\n\\nBlade\\u2019s market cap is now below estimated 2023 sales, and I expect the recent top-line beats to stack up in the long-run. Over time, BLDE stock should display a much healthier valuation, assuming the market catches on. Indeed, you\\u2019d be paying around 5-times 2030 earnings at today\\u2019s prices and expectations.\\n\\nAir taxis and similar companies operate in a speculative industry, so patience is certainly required. Additionally,\\u00a0Blade has taken some hits in the near-term, with BLDE stock down over 4% as of Thursday\\u2019s close. However, we\\u2019re talking about long-term returns in this article. And given BLDE stock is trading near trough levels right now, I wouldn\\u2019t hesitate to put this on the list.\\n\\nStory continues\\n\\nWall Street analysts see the stock moving higher considerably. The consensus one-year price target is $8.67, implying 182% upside from here. Even if it were to satisfy the lowest price target, that\\u2019s still double its current price.\\n\\nPaySign (PAYS) a stack of three credit cards representing payments stocks to buy\\n\\nSource: Teerasak Ladnongkhun \\\/ Shutterstock.com\\n\\nPaySign (NASDAQ:PAYS) is a company that provides payment solutions for various industries and markets. It offers digital banking, corporate rewards and incentives, corporate disbursements, and pharmaceutical solutions. PaySign uses its proprietary battery management system and in-house engineering and product designs to create customized and cost-effective payment programs.\\n\\nThe company\\u2019s recent Q2 earnings showed steady growth, with revenue up 28% year-over-year. Plasma compensation revenues grew at a healthy pace, while the newer patient affordability segment jumped 133%. PaySign continues adding new payment programs, with a robust pipeline anticipated to approach 40-50 total by year-end.\\n\\nPAYS stock seems to be making a turnaround after bottoming out near $1.80 per share a month ago. The company is expected to post profits this year and then grow those profits 137% next year. This puts the 2024 forward price-to-earnings ratio at 34-times. I expect this price-earnings ratio to drop much lower for 2025 and onwards. As for the company\\u2019s revenue growth, it is expected to be 19% this year and then stay near 15% for the next two years.\\n\\nFlux Power Holdings (FLUX) The Flux (FLUX) cryptocurrency logo on a white piece of fabric.\\n\\nSource: Shutterstock\\n\\nFlux Power (NASDAQ:FLUX) designs and makes advanced lithium-ion batteries for industrial equipment like forklifts, airport ground support vehicles, and solar energy storage. Their batteries outperform and simplify lead-acid alternatives, with longer lifespans and lower overall costs.\\n\\nWith a healthy project pipeline, including recent wins with large enterprise customers like Procter \u0026 Gamble (NYSE:PG), Flux appears well-positioned to capitalize on the accelerating global trend toward lithium battery adoption. The company posted strong revenue growth, with Q3 2023 sales up 14.5% year-over-year. Meanwhile, gross margins expanded sharply to 31% from just 15% last year.\\n\\nLike Blade, Flux\\u2019s top line is expected to grow at around 57% this year to $66.5 million, which is essentially its market capitalization. This growth is expected to settle around 25% for the foreseeable future, meaning the price-to-sales ratio drops below 0.5-times by the end of 2026.\\n\\nPenny Stocks\\n\\nOn Penny Stocks and Low-Volume Stocks: With only the rarest exceptions, InvestorPlace does not publish commentary about companies that have a market cap of less than $100 million or trade less than 100,000 shares each day. That\\u2019s because these \\u201cpenny stocks\\u201d are frequently the playground for scam artists and market manipulators. If we ever do publish commentary on a low-volume stock that may be affected by our commentary, we demand that\\u00a0InvestorPlace.com\\u2019s writers disclose this fact and warn readers of the risks.\\n\\nRead More:\\u00a0Penny Stocks \\u2014 How to Profit Without Getting Scammed\\n\\nOn the date of publication, Omor Ibne Ehsan did not have (either directly or indirectly) any positions in the securities mentioned in this article. The opinions expressed in this article are those of the writer, subject to the InvestorPlace.com\\u00a0Publishing Guidelines.\\n\\nOmor Ibne Ehsan is a writer at InvestorPlace. He is a self-taught investor with a focus on growth and cyclical stocks that have strong fundamentals, value, and long-term potential. He also has an interest in high-risk, high-reward investments such as cryptocurrencies and penny stocks. You can follow him on LinkedIn.\\n\\nMore From InvestorPlace\\n\\nMusk\\u2019s \\u201cProject Omega\\u201d May Be Set to Mint New Millionaires. Here\\u2019s How to Get In. ChatGPT IPO Could Shock the World, Make This Move Before the Announcement It doesn\\u2019t matter if you have $500 or $5 million. Do this now.\\n\\nThe post 3 Penny Stocks to Invest In for Big-Time, Long-Term Gains appeared first on InvestorPlace.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/3-penny-stocks-invest-big-110015387.html\u0022,\u0022symbols\u0022:[\u0022BLDE.US\u0022,\u0022FLUX.US\u0022,\u0022PAYS.US\u0022,\u0022PG.BA\u0022,\u0022PG.MX\u0022,\u0022PG.US\u0022,\u0022PRG.F\u0022,\u0022PRG.XETRA\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.997,\u0022neg\u0022:0.03,\u0022neu\u0022:0.856,\u0022pos\u0022:0.114},\u0022time_elapsed_date\u0022:\u00221 year ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-11-05\u0022,\u0022exception\u0022:null}"},{"id":1748,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u00221910\u0022,\u0022stockName\u0022:\u0022Samsonite International SA\u0022,\u0022stockExchange\u0022:\u0022HK\u0022,\u0022duration\u0022:\u0022-2 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00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:20.65,\u0022samsonite\u0022:null,\u0022travel bag\u0022:null,\u0022samsonite bag\u0022:null}],\u0022maxVal\u0022:30.4254,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u00221910\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022Samsonite International SA\u0022,\u0022Exchange\u0022:\u0022HK\u0022,\u0022CurrencyCode\u0022:\u0022HKD\u0022,\u0022CurrencyName\u0022:\u0022Hong Kong Dollar\u0022,\u0022CurrencySymbol\u0022:\u0022HK$\u0022,\u0022CountryName\u0022:\u0022Hong Kong\u0022,\u0022CountryISO\u0022:\u0022HK\u0022,\u0022OpenFigi\u0022:\u0022BBG001QJL254\u0022,\u0022ISIN\u0022:\u0022LU0633102719\u0022,\u0022LEI\u0022:\u0022549300UULS5HYFJSEL12\u0022,\u0022PrimaryTicker\u0022:\u00221910.HK\u0022,\u0022CIK\u0022:null,\u0022EmployerIdNumber\u0022:\u002236-3511556\u0022,\u0022FiscalYearEnd\u0022:\u0022December\u0022,\u0022IPODate\u0022:\u00221994-06-15\u0022,\u0022InternationalDomestic\u0022:\u0022International\\\/Domestic\u0022,\u0022Sector\u0022:\u0022Consumer Cyclical\u0022,\u0022Industry\u0022:\u0022Footwear \u0026 Accessories\u0022,\u0022GicSector\u0022:\u0022Consumer Discretionary\u0022,\u0022GicGroup\u0022:\u0022Consumer Durables \u0026 Apparel\u0022,\u0022GicIndustry\u0022:\u0022Textiles, Apparel \u0026 Luxury Goods\u0022,\u0022GicSubIndustry\u0022:\u0022Apparel, Accessories \u0026 Luxury Goods\u0022,\u0022Description\u0022:\u0022Samsonite International S.A. engages in the design, manufacture, sourcing, and distribution of travel luggage bags in North America, Asia, Europe, and Latin America. The company offers luggage, business, computer, outdoor, casual, and women\u0027s bags; and travel accessories and slim protective cases for personal electronic devices primarily under the Samsonite, Tumi, American Tourister, Speck, High Sierra, Gregory, Lipault, Kamiliant, Hartmann, and eBags brands, as well as other owned and licensed brand names. It sells its products through various wholesale distribution channels, as well as through company operated retail stores and e-commerce. The company was founded in 1910 and is based in Luxembourg, Luxembourg.\u0022,\u0022Address\u0022:\u002213-15 avenue de la Libert\\u00e9, Luxembourg, Luxembourg, 1931\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u002213-15 avenue de la Libert\\u00e9\u0022,\u0022City\u0022:\u0022Luxembourg\u0022,\u0022Country\u0022:\u0022Luxembourg\u0022,\u0022ZIP\u0022:\u00221931\u0022},\u0022Listings\u0022:[{\u0022Code\u0022:\u00221SO\u0022,\u0022Exchange\u0022:\u0022STU\u0022,\u0022Name\u0022:\u0022SAMS. INTERNAT. R (1SO.SG)\u0022},{\u0022Code\u0022:\u00221SO\u0022,\u0022Exchange\u0022:\u0022BE\u0022,\u0022Name\u0022:\u0022SAMS. INTERNAT. R\u0022},{\u0022Code\u0022:\u00221SO\u0022,\u0022Exchange\u0022:\u0022F\u0022,\u0022Name\u0022:\u0022Samsonite International S.A\u0022},{\u0022Code\u0022:\u00221SO\u0022,\u0022Exchange\u0022:\u0022MU\u0022,\u0022Name\u0022:\u0022SAMS. INTERNAT. 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Is Said to Pick JPMorgan, Morgan Stanley for Dual Listing in US\u0022,\u0022content\u0022:\u0022(Bloomberg) -- Samsonite International SA has selected banks to help arrange its dual listing in the US, according to people familiar with the situation, as it seeks to improve liquidity and become more accessible to global investors.\\n\\nMost Read from Bloomberg\\n\\nHow Air Conditioning Took Over the American Office Hong Kong\\u2019s Arts Hub Turns to Selling Land to Stay Afloat The Outsized Cost of Expanding US Roads\\n\\nSamsonite is working with JPMorgan Chase \u0026 Co. and Morgan Stanley on the listing, the people said, asking not to be identified because the information is private. Other banks are also looking to join the lineup, they said.\\n\\nSamsonite, which trades in Hong Kong, may consider making the US its primary listing venue as well, according to the people.\\n\\nRepresentatives for the luggage maker declined to comment. JPMorgan and Morgan Stanley also declined to comment.\\n\\nSamsonite\\u2019s board approved the dual listing in August, saying the US was appropriate based on the company\\u2019s \\u201cglobal footprint, growth drivers and strategic priorities.\\u201d\\n\\nThe owner of Tumi and American Tourister luggage brands had explored the possibility of a take-private deal, though investment funds backed away as they considered it was priced too highly, Bloomberg News reported.\\n\\nSamsonite\\u2019s net income in the first half of 2024 was $164 million on net sales of $1.77 billion. The company\\u2019s shares have tumbled 26% this year, leaving it with a market value of about HK$27 billion ($3.5 billion).\\n\\nMost Read from Bloomberg Businessweek\\n\\nJustice Is Beside the Point in America\\u2019s Immigration Courts Brazil Decides to Cancel the Elon Show La justicia no viene al caso en las cortes de inmigraci\\u00f3n de EE.UU. Private Equity Is Coming for Youth Sports Need 100,000 Balloons for a Convention? Here\\u2019s the Guy to Call\\n\\n\\u00a92024 Bloomberg L.P.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/samsonite-said-pick-jpmorgan-morgan-011629651.html\u0022,\u0022symbols\u0022:[\u00221910.HK\u0022,\u00221SO.BE\u0022,\u00221SO.F\u0022,\u00221SO.MU\u0022,\u00221SO.STU\u0022,\u0022SMSEY.US\u0022,\u0022SMSOF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.953,\u0022neg\u0022:0.014,\u0022neu\u0022:0.907,\u0022pos\u0022:0.08},\u0022time_elapsed_date\u0022:\u00224 weeks ago\u0022},{\u0022date\u0022:\u00222024-08-14T12:03:00+00:00\u0022,\u0022title\u0022:\u0022Samsonite Board Approves Plan to Pursue Second Listing in the US\u0022,\u0022content\u0022:\u0022(Bloomberg) -- The board of Samsonite International SA has authorized the luggage maker to pursue a dual listing in the US to improve liquidity and make its shares more accessible to investors globally.\\n\\nMost Read from Bloomberg\\n\\nManchester Is Giving London a Run for Its Money Biden Invests $100 Million to Fuel Housing Construction In DNC, Chicago\\u2019s Embattled Transit System Faces a High-Profile Test Johannesburg Mayor Quits Amid Infighting, Financial Woes Gottheimer Calls for Rail Riders to Be Reimbursed for Delays\\n\\nSamsonite, which is listed in Hong Kong, said in a Wednesday statement that the US is the appropriate venue based on the company\\u2019s \\u201cglobal footprint, growth drivers and strategic priorities.\\u201d\\n\\nBloomberg News reported earlier this year that Samsonite was considering a dual listing in the US, or potentially Europe, while also exploring the possibility of a take-private deal. Funds including Carlyle Group Inc. and KKR \u0026 Co. showed preliminary interest in a potential takeover, Bloomberg reported in March.\\n\\nShares in Samsonite, which owns the American Tourister, Tumi and High Sierra brands, have fallen 18% in Hong Kong this year, leaving the company with a market value of HK$30.9 billion ($4 billion).\\n\\nSamsonite, which has headquarters in Massachusetts and Luxembourg, raised about HK$10 billion in its Hong Kong initial public offering in 2011.\\n\\nSamsonite said Wednesday its first-half net income rose 7.7% from a year earlier to $164.3 million, while net sales were little changed at $1.77 billion.\\n\\n\\u201cWhile growth in global travel and tourism remains healthy, we are seeing rising macroeconomic uncertainty and softening consumer sentiment in a number of markets around the world,\\u201d Samsonite Chairman Tim Parker said. \\u201cWe will leverage Samsonite\\u2019s decentralized management structure to nimbly navigate more demanding trading conditions while investing in the business.\\u201d\\n\\n--With assistance from Foster Wong.\\n\\nMost Read from Bloomberg Businessweek\\n\\nInside Worldcoin\\u2019s Orb Factory, Audacious and Absurd Defender of Humanity New Breed of EV Promises 700 Miles per Charge (Just Add Gas) Kamala Harris 4.0: Liberal, Moderate or Something Else? Surgeons Cut a Giant Tumor Out of My Head. Is There a Better Way? There\\u2019s a Gender Split in How US College Grads Are Tackling a More Difficult Job Market\\n\\n\\u00a92024 Bloomberg L.P.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/samsonite-board-approves-plan-pursue-120300793.html\u0022,\u0022symbols\u0022:[\u00221910.HK\u0022,\u00221SO.BE\u0022,\u00221SO.F\u0022,\u00221SO.MU\u0022,\u00221SO.STU\u0022,\u0022SMSEY.US\u0022,\u0022SMSOF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.919,\u0022neg\u0022:0.046,\u0022neu\u0022:0.866,\u0022pos\u0022:0.088},\u0022time_elapsed_date\u0022:\u00221 month ago\u0022},{\u0022date\u0022:\u00222024-08-14T11:32:00+00:00\u0022,\u0022title\u0022:\u0022Samsonite International S.A. Announces Results for the Six Months Ended June 30, 2024\u0022,\u0022content\u0022:\u0022Consolidated net sales increased by 2.8%1\u003C\\\/b\u003E compared to a strong first half in 2023\\n\\nGross profit margin expanded by 140 basis points year-on-year to 60.2% and Adjusted EBITDA margin2 increased by 10 basis points to 18.9%, both first half records\\n\\nProfit attributable to the equity holders increased by 7.7% (+16.1% constant currency) year-on-year to US$164.3 million\\n\\nGenerated strong Free Cash Flow3\u003C\\\/b\u003E of US$81.6 million, a year-on-year increase of US$18.2 million\\n\\nTotal net leverage ratio4\u003C\\\/b\u003E further improved to 1.39x, the lowest level since the 2016 acquisition of Tumi\\n\\nCompany to pursue a dual listing of its shares in the United States\\n\\nHONG KONG, Aug. 14, 2024 \\\/PRNewswire\\\/ -- Samsonite International\\u00a0S.A. (\\\u0022Samsonite\\\u0022 or \\\u0022the Company\\\u0022, together with its consolidated subsidiaries, \\\u0022the Group\\\u0022; SEHK stock code:\\u00a01910), a leader in the global lifestyle bag industry and the world\u0027s best-known and largest travel luggage company, today published its unaudited condensed consolidated interim financial information for the six-month period ended June 30, 2024.\\n\\nOverview Commenting on the results, Mr. Kyle Gendreau, Chief Executive Officer, said, \\\u0022We are pleased with Samsonite\u0027s performance in the first half of 2024. We leveraged our increased investment in marketing to achieve year-on-year constant currency net sales growth compared to a record first half in 2023, a notable accomplishment given stronger headwinds this year, including more challenging macroeconomic conditions in China, a more competitive pricing environment in India, as well as lower consumer confidence and retail traffic in many markets. Our ongoing discipline on promotional discounts and rigorous expense controls enabled the Group to achieve gross profit margin of 60.2% and Adjusted EBITDA margin2 of 18.9%, both first half records. Additionally, our Free Cash Flow3 generation improved as we continued to optimize working capital during the period.\\\u0022\\n\\nSupported by increased investment in marketing and contribution from the Group\u0027s direct-to-consumer (\\\u0022DTC\\\u0022) channel, net sales for the six months ended June 30, 2024, increased by 2.8%1 year-on-year despite softening consumer demand. Net sales for the first half of 2024 in Asia, Europe and Latin America increased by 2.0%1, 4.6%1, and 20.3%1, respectively, and were relatively consistent in North America, against a strong first half in the previous year. During the first half of 2023, the Group registered record net sales that were fueled by a post-pandemic travel resurgence across Asia, particularly in China, which lifted restrictions at the beginning of 2023; as well as strong growth in North America due to increased sales to wholesale customers ahead of a robust summer travel season\\u00a0and strong sales of the Tumi brand driven by elevated demand for its key core collections and supported by the arrival of delayed inventory.\\n\\nStory continues\\n\\nThe Group\u0027s industry-leading Samsonite brand achieved a year-on-year net sales increase of 5.8%1 in the first half of 2024, with growth across all regions. Net sales of the Tumi brand grew by 0.3%1, while net sales of the American Tourister brand decreased slightly by 0.9%1 in the first half of 2024 compared to the first half of 2023.\\n\\nSupported by continued investments in its DTC operations, the Group\u0027s DTC net sales increased by 4.7%1 and contributed to a first half record\\u00a0of 38.1% of total net sales during the first half of 2024 compared to 37.7% in the first half of 2023.\\n\\nThe Group\u0027s gross profit margin expanded to a new first half record of 60.2% for the first half of 2024 compared to 58.8% for the first half of 2023, with improvements in all regions. This increase was driven by a higher share of total net sales from the DTC channel, shifts in brand mix and continued discipline on promotional discounts.\\n\\nAs planned, the Group increased investment in marketing to 6.6% of net sales during the first half of 2024, a 20-basis point increase from the first half of 2023. At the same time, the Group continued to diligently manage its fixed selling, general and administrative (\\\u0022SG\u0026A\\\u0022) expenses to drive positive operating leverage, even with continued investments in expanding\\u00a0its company-operated retail store fleet to 1,083\\u00a0stores as of June 30, 2024, a net increase of 82 company-operated retail stores compared to June 30, 2023. The Group\u0027s fixed SG\u0026A expenses increased by US$17.3 million year-on-year to US$425.5 million for the six months ended June 30, 2024. However, fixed SG\u0026A expenses in the first half of 2024 remained relatively flat compared to the US$427.8 million in the second half of 2023, despite the net addition\\u00a0of 31\\u00a0company-operated retail stores during the first half of 2024, reflecting the Group\u0027s ongoing discipline on expense management.\\n\\nAdjusted EBITDA margin2 improved by 10 basis points to a first half record of 18.9% for the six months ended June 30, 2024, compared to 18.8% for the same period in 2023, even as the Group increased its investment in marketing and expanded its company-operated retail store fleet. Adjusted EBITDA5 was a healthy US$333.5 million for the first half of 2024, essentially unchanged compared to US$334.3 million for the first half of 2023, but a year-on-year increase of 4.3%1 on a constant currency basis.\\n\\nFor the six months ended June 30, 2024, the Group recorded profit attributable to the equity holders of US$164.3 million, an improvement of US$11.8 million, or 7.7% (+16.1% constant currency), helped by a US$11.3 million reduction in net finance costs, year-on-year. Adjusted Net Income6 increased by US$3.1 million, or 1.8% (+9.3% constant currency), to US$174.0 million for first half of 2024, compared to US$170.9 million for the same period in 2023. These solid results underscore the Group\u0027s fundamentally enhanced margin profile and ongoing discipline in expense management.\\n\\nWith\\u00a0robust Adjusted EBITDA5 and prudent cash and working capital management, Samsonite\u0027s Free Cash Flow3 increased by US$18.2 million year-on-year to US$81.6 million during the six months ended June 30, 2024. The Group ended the first half of 2024 with net debt of US$1.0 billion7 and total net leverage ratio4 of 1.39x, a further improvement compared to net debt of US$1.1 billion7 and total net leverage ratio4 of 1.53x at the end of 2023.\\n\\nIn April 2024, the Company refinanced its term loan B facility to further enhance its financial flexibility. The Group borrowed US$100.0 million from its lower interest rate revolving credit facility and used the proceeds of such borrowing and the proceeds from its new term loan B facility to repay the entire principal amount of its outstanding borrowings under the previous term loan B facility, plus transaction expenses. The principal amount of borrowings under the new term loan B facility was US$500.0 million as of June 30, 2024. In addition, the Company was able to reduce the interest rate payable on its new term loan B borrowings by 75 basis points, with the refinancing expected to reduce the Company\u0027s annual cash interest payments in the first full year following the refinancing by approximately US$4.9 million.\\n\\nConsidering its strong performance and financial position, the Board of Directors reinstated annual cash distributions to the Company\u0027s shareholders in 2024, paying out US$150 million in July 2024. Furthermore, in June 2024, the Board authorized a share buyback program of up to US$200 million, and the Company plans to initiate share buybacks after the blackout period ends following its first half 2024 results announcement.\\n\\nThe Board has authorized the Company to pursue a dual listing of Samsonite\u0027s shares in the United States. The Board and the Company believe the United States is the appropriate venue to establish a dual listing following a thorough evaluation of the Company\u0027s global footprint, growth drivers, and strategic priorities. A dual listing in the United States will build on the Company\u0027s strong investor support on the Hong Kong Stock Exchange to enhance value creation over time, by improving the liquidity of the Company\u0027s shares and making them more accessible to shareholders in the United States and globally.\\n\\nMr. Gendreau continued, \\\u0022For the remainder of 2024, our outlook has become more clouded due to increased macroeconomic uncertainties and softening consumer sentiment. Year-on-year net sales growth slowed to 1.5%1 in the second quarter of 2024 compared to 4.1%1 in the first quarter of 2024 due to deceleration in Asia and North America. In Asia, compared to the same period in 2023, we continued to see good growth in the second quarter of 2024 in Japan and Australia, where net sales increased by 12.2%1 and 4.8%1, respectively, but net sales in China decreased by 3.5%1 due to softening consumer sentiment, and net sales in India decreased by 11.3%1 due to intensified promotional activity by competitors. As a result, net sales in Asia decreased by 2.9%1 in the second quarter of 2024 versus an increase of 7.5%1 in the first quarter of 2024, year-on-year.\\u00a0In North America, net sales decreased by 1.2%1 in the second quarter of 2024 compared to an increase of 0.3%1 in the first quarter of 2024, with second quarter 2024 net sales of the Tumi brand down by 3.1%1 year-on-year due to the slower traffic and increased caution among consumers that is currently affecting many premium and luxury brands. Second quarter 2024 net sales in Europe and Latin America increased by 9.5%1 and 23.3%1, respectively, year-on-year, though performance in some markets showed signs of weakening.\\\u0022\\n\\n\\\u0022We continue to see softer sales trends as we head into the second half of 2024. Promotional activity has increased in the marketplace, particularly at entry level price points, and while we have responded tactically to this, Samsonite\u0027s priority remains to drive high-quality sales to build a strong foundation for long-term, profitable, brand-accretive growth. We will remain vigilant in controlling promotional discounts and managing expenses, especially our fixed SG\u0026A expenses, to sustain the Group\u0027s robust margin profile. Additionally, we will continue to manage cash and working capital closely to maintain strong Free Cash Flow3 generation. This will provide additional\\u00a0flexibility in capital allocation to continue to deleverage\\u00a0our balance sheet, invest in organic growth, and return\\u00a0cash to our shareholders.\\\u0022\\n\\n\\\u0022Trends in global travel and tourism remain positive, supporting demand for the Group\u0027s products. International tourism arrivals continue to improve and are projected to exceed pre-pandemic levels in 20248, and demand for air travel during the peak Northern Hemisphere summer period remains strong9. As consumers continue to prioritize travel over other discretionary spending, our prospects remain bright despite current\\u00a0headwinds.\\\u0022\\n\\n\\\u0022With substantial liquidity of US$1.6 billion10 as of June 30, 2024, we are well positioned to continue to invest in the business for future growth. Our relentless commitment to product innovation, quality, functionality, reliability and sustainability will reinforce our brands\u0027 appeal among consumers as they become more selective and deliberate with their spending, and further sets us apart from the competition. As such, we will continue to invest in marketing to drive awareness across our brands, targeting advertising spend at approximately 7% of net sales. In addition, we will continue to invest in upgrading and expanding our brick-and-mortar retail and e-commerce operations.\\\u0022\\n\\n\\\u0022We continue to make great progress on \u0027Our Responsible Journey\u0027, leveraging our leadership position to create a path towards a more sustainable future for our industry. A priority right now is establishing a near-term, science-based emissions reduction target across our own operations and supply chain. We\u0027re excited about this important next step and are planning to publish our target later this year.\\\u0022\\n\\nMr. Gendreau concluded, \\\u0022Our teams are highly energized, and we are confident that our portfolio of leading brands, unrivaled global sourcing and strong distribution infrastructure, and commitment to sustainability and innovation will continue to strengthen Samsonite\u0027s market position and drive sustainable and profitable long-term growth.\\\u0022\\n\\nTable 1: Key Financial Highlights for the Three Months Ended June 30, 2024 Expressed in US$ millions,\\n\\nexcept per share data Three months \\r\\nended June 30, \\r\\n2024 Three months \\r\\nended June 30, \\r\\n2023 Percentage\\u00a0\\r\\nincrease \\r\\n(decrease)\\r\\n2024 vs. 2023 Percentage\\u00a0\\r\\nincrease \\r\\n(decrease)\\r\\n2024 vs. 2023\\r\\nexcl. foreign\\r\\ncurrency effects1 Net sales 908.9 924.1 (1.6)\\u00a0% 1.5\\u00a0% Gross profit 545.4 549.1 (0.7)\\u00a0% 3.3\\u00a0% Gross profit margin 60.0\\u00a0% 59.4\\u00a0% Operating profit 164.9 167.4 (1.5)\\u00a0% 3.0\\u00a0% Profit attributable to the equity \\r\\nholders 81.4 78.7 3.4\\u00a0% 13.6\\u00a0% Adjusted Net Income6 86.9 89.6 (3.1)\\u00a0% 5.9\\u00a0% Adjusted EBITDA5 172.3 177.9 (3.2)\\u00a0% 1.2\\u00a0% Adjusted EBITDA margin2 19.0\\u00a0% 19.3\\u00a0% Basic earnings per share \\u2013\\r\\nExpressed in US$ per share 0.056 0.055 2.2\\u00a0% 12.2\\u00a0% Diluted earnings per share \\u2013\\r\\nExpressed in US$ per share 0.055 0.054 1.6\\u00a0% 11.5\\u00a0% Adjusted basic and diluted \\r\\nearnings per share11\u003C\\\/b\u003E \\u2013 Expressed in US$ per share 0.059 0.062 (4.8)\\u00a0% 4.0\\u00a0%\\n\\n2024 Second Quarter Highlights For the three months ended June 30, 2024, the Group\u0027s net sales decreased by US$15.2 million, or 1.6%, to US$908.9 million, but increased by 1.5%1 on a constant currency basis, against a strong second quarter in 2023. In comparison, during the three months ended June 30, 2023, Samsonite recorded net sales growth of 36.1%1, 12 compared to the second quarter of 2022, driven by an 84.3%1 net sales increase in Asia due to post-pandemic travel resurgence across the region, particularly in China (+191.8%1), and net sales growth\\u00a0of 19.8%1 in North America due to increased sales to wholesale customers ahead of a robust summer travel season and strong performance of the Tumi brand driven by elevated demand for its key core collections and supported by the arrival of delayed inventory.\\n\\nThe 1.5%1 year-on-year constant currency net sales increase during the second quarter of 2024 was driven by growth in Europe and Latin America, where net sales increased by 9.5%1 and 23.3%1 year-on-year, respectively, though with growth in some markets showing signs of slowing. During the second quarter of 2024, net sales in Asia decreased by 2.9%1 compared to the same period in 2023, with net sales in China decreasing by 3.5%1 due to softening sentiment among Chinese consumers, and net sales in India decreasing by 11.3%1 due to intensified promotional activity among competitors. Excluding China and India, net sales in Asia decreased slightly by 0.2%1, year-on-year. Net sales in North America for the second quarter of 2024 decreased by 1.2%1, with net sales of the Tumi brand down by 3.1%1 year-on-year due to slower traffic and increased caution among consumers.\\n\\nFor the three months ended June 30, 2024, net sales of the Samsonite brand increased by 5.2%1 driven by growth in North America, Europe and Latin America. Performance of the Tumi brand was impacted by the softer consumer demand and traffic that is currently affecting many premium and luxury brands, with second quarter 2024 net sales decreasing by 0.8%1 year-on-year. Net sales of the American Tourister brands decreased by 4.5%1 due to reduced purchases by certain wholesale customers in North America and intensified promotional activity by competitors in India. The Group\u0027s DTC net sales increased by 2.3%1 and accounted for 39.4% of total net sales during the second quarter of 2024 compared to 39.1% in the same period of 2023.\\n\\nThe Group achieved gross profit margin of 60.0% in the second quarter of 2024, an increase of 60 basis points year-on-year, as the Group continued to carefully control promotional discounts. As planned, the Group increased its investment in marketing to 7.1% of net sales in the second quarter of 2024 compared to 6.9% of net sales in the second quarter of 2023. At US$211.9 million, second quarter 2024 fixed SG\u0026A expenses were flat to recent quarters, but up marginally compared to the US$207.9 million recorded in the second quarter of 2023.\\n\\nAdjusted EBITDA5 decreased by US$5.7 million, or 3.2%, to US$172.3 million, but increased by 1.2%1 on a constant currency basis, year-on-year. Second quarter 2024 Adjusted EBITDA margin2 was 19.0% compared to 19.3% for the same period in 2023.\\n\\nFor the three months ended June 30, 2024, the Group recorded profit attributable to the equity holders of US$81.4 million, an increase of US$2.7 million, or 3.4% (+13.6% constant currency), helped by a US$3.1 million reduction in net finance costs, compared to the same period in 2023. The Group\u0027s Adjusted Net Income6 for the three months ended June 30, 2024, decreased by US$2.7 million, or 3.1%, to US$86.9 million, but increased by 5.9%1 on a constant currency basis year-on-year. This resilient performance underscores the Group\u0027s fundamentally enhanced margin profile and ongoing discipline in expense management.\\n\\nTable 2: Key Financial Highlights for the Six Months Ended June 30, 2024 Expressed in US$ millions,\\n\\nexcept per share data Six months \\r\\nended June 30, \\r\\n2024 Six months\\u00a0\\r\\nended June 30, \\r\\n2023 Percentage\\u00a0\\r\\nincrease \\r\\n(decrease)\\r\\n2024 vs. 2023 Percentage\\u00a0\\r\\nincrease \\r\\n(decrease)\\r\\n2024 vs. 2023\\r\\nexcl. foreign\\r\\ncurrency effects1 Net sales 1,768.5 1,776.2 (0.4)\\u00a0% 2.8\\u00a0% Gross profit 1,064.8 1,043.6 2.0\\u00a0% 5.9\\u00a0% Gross profit margin 60.2\\u00a0% 58.8\\u00a0% Operating profit 314.7 312.1 0.8\\u00a0% 5.6\\u00a0% Profit attributable to the equity \\r\\nholders 164.3 152.5 7.7\\u00a0% 16.1\\u00a0% Adjusted Net Income6 174.0 170.9 1.8\\u00a0% 9.3\\u00a0% Adjusted EBITDA5 333.5 334.3 (0.3)\\u00a0% 4.3\\u00a0% Adjusted EBITDA margin2 18.9\\u00a0% 18.8\\u00a0% Basic earnings per share \\u2013\\r\\nExpressed in US$ per share 0.113 0.106 6.7\\u00a0% 15.0\\u00a0% Diluted earnings per share \\u2013\\r\\nExpressed in US$ per share 0.112 0.105 6.1\\u00a0% 14.4\\u00a0% Adjusted basic earnings per share11 \\u2013\\n\\nExpressed in US$ per share 0.119 0.118 0.9\\u00a0% 8.3\\u00a0% Adjusted diluted earnings per share11 \\u2013\\n\\nExpressed in US$ per share 0.118 0.118 0.3\\u00a0% 7.7\\u00a0%\\n\\nResults for the Six Months Ended June 30, 2024 The Group\u0027s performance for the six months ended June 30, 2024,\\u00a0is discussed in greater detail below.\\n\\nNet Sales For the six months ended June 30, 2024, the Group\u0027s net sales decreased by US$7.7 million, or 0.4%, to US$1,768.5 million, but increased by 2.8%1 on a constant currency basis\\u00a0compared to a record first half in 2023 (the Group recorded net sales of US$1,776.2 million in the first half of 2023, an increase of 44.5%1 (and an increase of 45.7%1,\\u00a012 when excluding net sales in Russia12) compared to the same period in 2022).\\n\\nNet Sales Performance by Region Table 3: Net Sales by Region Region13 Six months ended \\r\\nJune 30, 2024\\n\\nUS$ millions Six months ended\\n\\nJune 30, 2023\\n\\nUS$ millions Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023 Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023\\n\\nexcl. foreign\\n\\ncurrency effects1 Asia 680.0 693.9 (2.0)\\u00a0% 2.0\\u00a0% North America 608.3 611.3 (0.5)\\u00a0% (0.5)\\u00a0% Europe 372.3 365.7 1.8\\u00a0% 4.6\\u00a0% Latin America 107.5 104.6 2.7\\u00a0% 20.3\\u00a0% Corporate 0.4 0.7 (37.0)\\u00a0% (37.0)\\u00a0% Net sales 1,768.5 1,776.2 (0.4)\\u00a0% 2.8\\u00a0%\\n\\nAsia During the six months ended June 30, 2024, the Group\u0027s net sales in Asia decreased by US$13.9 million, or 2.0%, to US$680.0 million, but increased by 2.0%1 on a constant currency basis against a strong first half in 2023. During the six months ended June 30, 2023, Samsonite recorded year-on-year net sales growth of 86.7%1 in Asia, driven by the strong rebound in travel across the region following the pandemic, particularly in China which lifted restrictions at the beginning of 2023.\\n\\nDuring the first half of 2024, net sales in China increased by 7.6%1 year-on-year, driven by net sales growth of 23.0%1 in the first quarter of 2024 due to strong travel demand during the Chinese New Year holiday compared to a low base in the same period in 2023 when the country just emerged from COVID-related restrictions, partially offset by a net sales decline of 3.5%1 in the second quarter of 2024 with weakening consumer sentiment. Net sales in Japan, South Korea, and Australia for the first half of 2024 increased by 19.0%1, 4.6%1 and 12.9%1, respectively, compared to the first half of 2023. These constant currency net sales gains were partially offset by net sales decreases in India, Hong Kong14, and Singapore15. After three years of rapid growth in India, the country\u0027s first half 2024 net sales decreased by 10.6%1 year-on-year due to intensified promotional activity by competitors. During the first half of 2024, net sales in Hong Kong14 decreased by 12.9%1 due to continued macroeconomic uncertainty and softening consumer sentiment, while net sales in Singapore15 decreased by 5.0%1 against a strong first half in 2023.\\n\\nNorth America For the six months ended June 30, 2024, the Group recorded net sales of US$608.3 million in North America, down marginally by 0.5%1 compared to a high net sales base in the prior year period due to slower traffic and increased caution among consumers. During the first half of 2023, net sales in North America increased by 25.3%1 year-on-year to US$611.3 million\\u00a0due to increased sales to wholesale customers ahead of a robust summer travel season and by strong sales of the Tumi brand driven by elevated demand for its key core collections and supported by\\u00a0the arrival of delayed inventory.\\u00a0During the first half of 2024, the Group\u0027s net sales in the United States were relatively unchanged (down 0.2%), while net sales in Canada decreased by 4.4%1, year-on-year.\\n\\nEurope For the six months ended June 30, 2024, the Group recorded net sales of US$372.3 million in Europe, an increase of 4.6%1 year-on-year compared to a strong first half in 2023. During the six months ended June 30, 2023, net sales in Europe increased by 26.1%1 (and by 30.3%1, 12 when excluding the net sales in Russia12) year-on-year primarily due to the resurgence of travel driving strong demand for the Group\u0027s products. The net sales increase in the first half of 2024 was primarily driven by Belgium16, where net sales increased by 12.3%1, and Spain, with net sales growth of 5.7%1, partially offset by net sales decreases in\\u00a0Germany of 3.9%1, in France of 7.8%1, in Italy of 4.3%1, and in the United Kingdom17 of 0.4%1, where softening consumer confidence affected performance.\\n\\nLatin America For the six months ended June 30, 2024, the Group recorded net sales of US$107.5 million in Latin America, an increase of 20.3%1 compared to the corresponding\\u00a0period in 2023, driven by year-on-year net sales increases of 17.1%1 in Mexico and 8.7%1 in Brazil, while net sales in Chile were down slightly by 0.6%1, year-on-year.\\n\\nNet Sales\\u00a0Performance by Brand Table 4: Net Sales by Brand Brand Six months ended \\r\\nJune 30, 2024\\n\\nUS$ millions Six months ended \\r\\nJune 30, 2023\\n\\nUS$ millions Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023 Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023\\n\\nexcl. foreign\\n\\ncurrency effects1 Samsonite 903.8 880.3 2.7\\u00a0% 5.8\\u00a0% Tumi 413.9 421.1 (1.7)\\u00a0% 0.3\\u00a0% American Tourister 307.4 320.8 (4.2)\\u00a0% (0.9)\\u00a0% Other18 143.4 154.1 (7.0)\\u00a0% (0.5)\\u00a0% Net sales 1,768.5 1,776.2 (0.4)\\u00a0% 2.8\\u00a0%\\n\\nThe industry-leading Samsonite brand achieved strong growth in the six months ended June 30, 2024, with net sales increasing by 5.8%1 year-on-year despite exceptionally high sell-in to wholesale customers during the same period in 2023. All regions registered constant currency net sales increases during the first half of 2024: Asia (+5.7%1), North America (+2.6%1), Europe (+6.8%1), and Latin America (+23.9%1). The Samsonite brand\u0027s share of the Group\u0027s total net sales increased to 51.1% in the first half of 2024 compared to 49.6% in the first half of 2023.\\n\\nFor the six months ended June 30, 2024, net sales of the Tumi brand increased by 0.3%1 compared to the first half of 2023. The constant currency net sales increase was driven by increases in Asia (+2.7%1) and Latin America (+31.8%1), largely offset by decreases in North America (-1.5%1) and Europe (-1.1%1) due to moderating customer traffic in the first half of 2024 against a high net sales base in the first half of 2023, which was driven by elevated demand for its key core collections and supported by\\u00a0the arrival of delayed inventory.\\u00a0The Tumi brand\u0027s share of the Group\u0027s total net sales remained relatively unchanged at 23.4% in the first half of 2024 compared to 23.7% in the first half of 2023.\\n\\nNet sales of the American Tourister brand decreased slightly by 0.9%1 for the six months ended June 30, 2024, compared to the first half of 2023. During the first half of 2024, net sales increased by 24.0%1 in Latin America. Net sales in Asia were unchanged1 due to reduced sales in India as competitors significantly discounted their products, while net sales in Europe decreased slightly by 1.5%1. Net sales decreased by 11.9%1 in North America due to reduced purchases by certain wholesale customers.\\u00a0As a result, the American Tourister brand\u0027s share of the Group\u0027s total net sales decreased to 17.4% in the first half of 2024 compared to 18.0% in the first half of 2023.\\n\\nNet Sales\\u00a0Performance by Distribution Channel Table 5: Net Sales by Distribution Channel Distribution Channel Six months ended \\r\\nJune 30, 2024\\n\\nUS$ millions Six months ended \\r\\nJune 30, 2023\\n\\nUS$ millions Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023 Percentage\\n\\nincrease (decrease)\\n\\n2024 vs. 2023\\n\\nexcl. foreign\\n\\ncurrency effects1 Wholesale 1,093.9 1,106.5 (1.1)\\u00a0% 1.5\\u00a0% DTC 673.5 669.0 0.7\\u00a0% 4.7\\u00a0% Other19 1.0 0.8 33.1\\u00a0% 33.1\\u00a0% Total net sales 1,768.5 1,776.2 (0.4)\\u00a0% 2.8\\u00a0%\\n\\nFor the six months ended June 30, 2024, net sales in the Group\u0027s wholesale channel increased by 1.5%1 compared to a strong first half in 2023, during which travel in\\u00a0all markets continued to recover and sell-in was strong\\u00a0ahead of a robust summer travel season.\\n\\nDuring the six months ended June 30, 2024, the Group\u0027s net sales in the DTC channel, which includes company-operated brick-and-mortar retail stores and e-commerce sites operated by the Group, increased by 4.7%1 to US$673.5 million, year-on year. The DTC channel contributed to a first half record of 38.1% of net sales in the first half of 2024, compared to 37.7% for the same period in 2023. During the first half of 2024, DTC retail net sales increased by 2.8%1 to US$482.7 million (representing 27.3% of net sales) from US$489.0 million (representing 27.5% of net sales) for the first half of 2023. DTC e-commerce net sales increased by 10.0%1 to US$190.8 million (representing 10.8% of net sales) during the first half of 2024, compared to US$180.0 million (representing 10.1% of net sales)\\u00a0during the first half of 2023.\\n\\nDuring the six months ended June 30, 2024, the Group the Group added 48\\u00a0company-operated retail stores, partially offset by the permanent closure of 17 company-operated retail stores. This resulted in a net addition of 31 company-operated retail stores (12 in Asia, 3 in North America, 8 in Europe, and 8 in Latin America) during the six months ended June 30, 2024, compared to a net increase of 16 company-operated retail stores during first half of 2023. The total number of company-operated retail stores was 1,083 as of June 30, 2024, compared to 1,052 as of December 31, 2023, and 1,001 as of June 30, 2023.\\n\\nGross Profit The Group\u0027s gross profit increased by US$21.3 million, or 2.0% (+5.9%1 constant currency), to US$1,064.8 million for the six months ended June 30, 2024, from US$1,043.6 million in the first half of 2023. Gross profit margin expanded to a new first half record of 60.2% for the first half of 2024, an increase of 140 basis points year-on-year, with gross profit margin improving in all regions. The increase in the Group\u0027s gross profit margin was driven by an increased proportion of total net sales attributable to the DTC channel to 38.1% in the first half of 2024 from 37.7% in the first half of 2023, shifts in brand mix and continued discipline on promotional discounts.\\n\\nInvestment in Marketing As planned, the Group increased its investment in marketing to\\u00a0US$117.4 million during the six months ended June 30, 2024,\\u00a0an increase of US$3.2 million, or 2.8% (+5.4%1 constant currency), compared to US$114.2 million in the first half of 2023. As a percentage of net sales, marketing expenses increased by 20 basis points to 6.6% of net sales in the first half of 2024 from 6.4% in the same period in 2023.\\n\\nDistribution Expenses Distribution expenses increased by US$31.0 million, or 6.3% (+10.4%1 constant currency), to US$520.3 million (representing 29.4% of net sales) for the six months ended June 30, 2024, from US$489.3 million (representing 27.5% of net sales) for the first half of 2023. Distribution expenses as a percentage of net sales increased primarily due to higher depreciation and amortization of lease right-of-use assets in relation to the 82\\u00a0net new company-operated retail stores opened since June 30, 2023 (including 31\\u00a0net new company-operated retail stores opened during the first half of 2024), as well as other expenses to support sales growth.\\u00a0Additionally, many company-operated retail stores were operating with reduced staff and temporary rental concessions in the first half of 2023, both of which had normalized by the end of 2023. The Group remains\\u00a0focused on managing its distribution expenses\\u00a0to drive operating leverage.\\n\\nGeneral and Administrative Expenses\\r\\nGeneral and administrative expenses decreased by US$8.9 million, or 7.0% (-4.8%1 constant currency), to US$118.2 million (representing 6.7% of net sales) for the six months ended June 30, 2024, from US$127.1 million (representing 7.2% of net sales) for the first half of 2023. The decrease in general and administrative expense as a percentage of net sales reflects continued discipline on the fixed cost structure of the business.\\n\\nOperating Profit The Group reported an operating profit of US$314.7 million for the six months ended June 30, 2024, an improvement of US$2.6 million, or 0.8% (+5.6%1 constant currency), compared to the US$312.1 million for the first half of 2023.\\n\\nNet Finance Costs and Income Tax Expense Net finance costs decreased by US$11.3 million, or 14.0% (-10.8%1 constant currency), to US$69.7 million for the six months ended June 30, 2024, from US$81.0 million for the first half of 2023. This reduction was attributable to a decrease in the non-cash charge associated with redeemable non-controlling interest put options of US$9.0 million, and a US$6.1 million reduction in interest expense on loans and borrowings to US$45.7 million for the six months ended June 30, 2024, from US$51.8 million in the first half of 2023 as the Group continued to repay borrowings under its senior credit facilities. Total loans and borrowings were US$1,822.9 million as of June 30, 2024, compared to US$1,935.6 million as of June 30, 2023.\\n\\nThe Group recorded an income tax expense of US$65.9 million for the six months ended June 30, 2024, compared to income tax expense of US$59.7 million for the first half of 2023. The Group\u0027s consolidated effective tax rate for operations was 26.9% and 25.9% for the first half of 2024 and the first half of 2023, respectively, mainly due to an increase in withholding taxes on intra-group dividends during the first half of 2024.\\n\\nProfit Attributable to the Equity Holders The Group recorded profit attributable to the equity holders of US$164.3 million for the six months ended June 30, 2024, an increase of US$11.8 million, or 7.7% (+16.1%1 constant currency), compared to US$152.5 million for the first half of 2023. This increase was driven primarily by a US$11.3 million reduction in net finance costs year-on-year.\\n\\nAdjusted EBITDA and Adjusted Net Income The Group continued to diligently manage its fixed SG\u0026A expenses to drive positive operating leverage during the first half of 2024. The Group\u0027s fixed SG\u0026A expenses increased by US$17.3 million year-on-year to US$425.5 million for the six months ended June 30, 2024, due to the growth in the Group\u0027s\\u00a0company-operated retail store fleet to 1,083\\u00a0company-operated retail\\u00a0stores as of June 30, 2024, an increase of 82 company-operated retail\\u00a0stores compared to June 30, 2023. Additionally, many company-operated retail stores were operating with reduced staff and temporary rental concessions in the first half of 2023, both of which had normalized by the end of 2023. However, fixed SG\u0026A expenses in the first half of 2024 remained relatively flat compared to the US$427.8 million in the second half of 2023, despite the net addition\\u00a0of 31\\u00a0company-operated retail stores during the first half of 2024, reflecting the Group\u0027s ongoing discipline on expense management. Fixed SG\u0026A expenses, as a percentage of net sales, were 24.1% during the first half of 2024, 110 basis points above the 23.0% for the first half of 2023, but 410 basis points below the 28.2% for the first half 2019.\\n\\nFor the six months ended June 30, 2024, the Group\u0027s Adjusted EBITDA5 was stable at US$333.5 million compared to the US$334.3 million for the same period in 2023 and increased by 4.3%1 on a constant currency basis compared to the first half of 2023. First half 2024 Adjusted EBITDA margin2 increased by 10 basis points to a first half record 18.9% compared to 18.8% for the same period in 2023. This resilient performance was driven by a 140-basis point increase in the Group\u0027s gross profit margin to 60.2%, partially offset by a 20-basis point increase in marketing expenses to 6.6%\\u00a0of net sales and a 110-basis point\\u00a0increase in fixed SG\u0026A expenses to 24.1% of net sales during the first half of 2024, compared to the same period in 2023.\\n\\nAdjusted Net Income6 increased by US$3.1 million, or 1.8% (+9.3%1 constant currency), to US$174.0 million for the six months ended June 30, 2024, compared to US$170.9 million for the first half of 2023. The improvement in Adjusted Net Income was primarily due to improved gross profit.\\n\\nWorking Capital The Group continued to optimize its working capital during the first half of 2024. At US$637.7 million as of June 30, 2024, inventories were US$58.2 million lower than the US$695.9 million as of December 31, 2023, and US$102.7 million lower than the US$740.4 million as of June 30, 2023, as the Group continued to gradually reduce its inventories to target levels. Trade and other receivables were higher at US$346.1 million as of June 30, 2024, compared to US$319.6 million at the end of 2023 and US$314.4 million as of June 30, 2023. Trade payables were lower at US$462.8 million as of June 30, 2024, versus US$500.4 million at the end of 2023 and US$537.5 million at the end of the first half of 2023. As a result, net working capital was US$521.0 million as of June 30, 2024, relatively consistent with the US$515.1 million as of December 31, 2023, and the US$517.3 million as of June 30, 2023. Net working capital efficiency20 was 14.6% as of June 30, 2024, compared to 14.0% as of December 31, 2023, and 14.4% as of June 30, 2023. The Group will continue to carefully manage its working capital for the remainder of 2024.\\n\\nTotal Capital Expenditures During the six months ended June 30, 2024, the Group selectively opened 48 new company-operated retail stores. In comparison, the Group opened 32 new company-operated retail stores in the first half of 2023. As a result of adding new stores and remodeling existing stores, capital expenditures on retail stores were US$20.2 million for the first half of 2024 compared to US$10.2 million in the first half of 2023. Total capital expenditures were US$41.2 million21 during the first half of 2024, an increase of US$15.5 million compared to the US$25.7 million21 spent in the first half of 2023. The Group\\u00a0intends to continue to prudently invest in\\u00a0expanding and upgrading its company-operated retail store fleet during the balance of 2024.\\n\\nBalance Sheet and Free Cash Flow Free Cash Flow3 improved by US$18.2 million to US$81.6 million for the six months ended June 30, 2024, compared to US$63.4 million for the first half of 2023. As a result, the Group improved its net debt position to US$1,007.4 million7 as of June 30, 2024, compared to a net debt position of US$1,107.4 million7 as of December 31, 2023. The Group continued to maintain substantial liquidity of US$1,559.6 million10 as of June 30, 2024, compared to US$1,562.0 million10 at the end of 2023.\\n\\nThe reduction in net debt, together with strong Adjusted EBITDA5, enabled the Group to further lower its total net leverage ratio4 to 1.39x as of June 30, 2024, compared to 1.53x as of December 31, 2023.\\n\\n2024 First Half Results \\u2013 Earnings Call for Analysts and Investors: Date: Wednesday, August 14, 2024 Time: 08:30 New York \\\/ 13:30 London \\\/ 20:30 Hong Kong Webcast Link: https:\\\/\\\/media.website.wisdomir.com\\\/live\\\/land\\\/00303\\\/ Dial-in Details: https:\\\/\\\/corporate.samsonite.com\\\/on\\\/demandware.static\\\/-\\\/Sites-InvestorRelations-Library\\\/default\\\/dwcaac7f09\\\/PDF\\\/press-release\\\/2024\\\/E_Samsonite_1H2024%20Results%20Date%20\u0026%20Conference%20Call%20(FINAL%202024-08-06).pdf\\n\\n\\u2013 End \\u2013\\n\\nAbout\\u00a0Samsonite With a heritage dating back to 1910, Samsonite International S.A. (\\\u0022Samsonite\\\u0022 or the \\\u0022Company\\\u0022, together with its consolidated subsidiaries the \\\u0022Group\\\u0022), is a leader in the global lifestyle bag industry and is the world\u0027s best-known and largest travel luggage company. The Group is principally engaged in the design, manufacture, sourcing and distribution of luggage, business and computer bags, outdoor and casual bags and travel accessories throughout the world, primarily under the Samsonite\\u00ae, Tumi\\u00ae, American Tourister\\u00ae, Gregory\\u00ae, High Sierra\\u00ae, Lipault\\u00ae and Hartmann\\u00ae brand names as well as other owned and licensed brand names. The Company\u0027s ordinary shares are listed on the Main Board of The Stock Exchange of Hong Kong Limited (\\\u0022SEHK\\\u0022).\\n\\nFor more information, please contact: Samsonite International S.A. \\u2013 Hong Kong Branch Tel:\\u00a0 +852 2422 2611 William Yue Helena Sau Email: william.yue@samsonite.com Email: helena.sau@samsonite.com United States \\u2013 Joele Frank, Wilkinson Brimmer Katcher Michael Freitag \\\/ Tim Ragones \\\/ Ed Trissel Tel:\\u00a0 +1 212 355 4449 Email:\\u00a0Samsonite-JF@joelefrank.com\\n\\nNotes 1 Results stated on a constant currency basis, a non-International Financial Reporting Standards (\\\u0022IFRS\\\u0022) Accounting Standards measure, are calculated by applying the average exchange rate of the same period in the year under comparison to current period local currency results. 2 Adjusted EBITDA margin, a non-IFRS measure, is calculated by dividing adjusted earnings before interest, taxes, depreciation and amortization of intangible assets (\\\u0022Adjusted EBITDA\\\u0022) by net sales. 3 Free Cash Flow is defined as net cash generated from (used in) operating activities less (i) purchases of property, plant and equipment and software (\\\u0022total capital expenditures\\\u0022) and (ii) principal payments on lease liabilities (each as set forth on the condensed consolidated statements of cash flows). 4 The total net leverage ratio is calculated by dividing total consolidated net debt minus the aggregate amount of unrestricted cash by the consolidated Adjusted EBITDA for the trailing four fiscal quarters on a pro forma basis as defined in the credit agreement. 5 Adjusted EBITDA, a non-IFRS measure, eliminates the effect of a number of costs, charges and credits and certain other non-cash charges. Adjusted EBITDA includes the lease interest and amortization expense under IFRS 16 to account for operational rent expenses. The Group believes these measures provide additional information that is useful in gaining a more complete understanding of its operational performance and of the underlying trends of its business. 6 Adjusted Net Income, a non-IFRS measure, eliminates the effect of a number of costs, charges and credits and certain other non-cash charges, along with their respective tax effects, that impact the Group\u0027s reported profit attributable to the equity holders, which the Group believes helps to give securities analysts, investors and other interested parties a more complete understanding of the Group\u0027s underlying financial performance. 7 As of June 30, 2024, the Group had US$815.5 million in cash and cash equivalents and outstanding financial debt of US$1,822.9 million (excluding deferred financing costs of US$9.1 million), resulting in a net debt position of US$1,007.4 million. As of December 31, 2023, the Group had US$716.6 million in cash and cash equivalents and outstanding financial debt of US$1,824.0 million (excluding deferred financing costs of US$17.0 million), resulting in a net debt position of US$1,107.4 million. 8 Source: UN Tourism World Tourism Barometer, Volume 22, issue 2, May 2024. 9 Source: IATA Air Passenger Market Analysis, May 2024. 10 Total liquidity is calculated as the sum of cash and cash equivalents per the condensed consolidated statements of financial position plus available capacity under the Group\u0027s revolving credit facility. As of June 30, 2024, the Group had total liquidity of US$1,559.6 million, comprising cash and cash equivalents of US$815.5 million and US$744.1 million available to be borrowed on the Group\u0027s revolving credit facility. As of December 31, 2023, the Group had total liquidity of US$1,562.0 million, comprising cash and cash equivalents of US$716.6 million and US$845.4 million available to be borrowed on the Group\u0027s revolving credit facility. 11 Adjusted basic and diluted earnings per share, both non-IFRS measures, are calculated by dividing Adjusted Net Income by the weighted average number of shares used in the basic and diluted earnings per share calculations, respectively. 12 On March 14, 2022, the Group suspended all commercial activities in Russia due to the armed conflict in Ukraine, and the Group subsequently completed the disposition of its Russian operations on July 1, 2022. As such, when comparing the Group\u0027s net sales for the three and six months ended June 30, 2023, with its net sales for the three and six months ended June 30, 2022, net sales of the Group\u0027s former Russian operations in the respective periods under comparison are excluded. 13 The geographic location of the Group\u0027s net sales generally reflects the country\\\/territory from which its products were sold and does not necessarily indicate the country\\\/territory in which its end customers were actually located. 14 Net sales reported for Hong Kong include net sales made domestically, net sales made in Macau, as well as net sales to distributors in certain other Asian markets. 15 Net sales reported for Singapore include net sales made domestically and net sales to distributors in certain other Asian markets. 16 Net sales in Belgium were US$12.6 million and US$12.1 million for the six months ended June 30, 2024, and June 30, 2023, respectively, an increase of US$0.5 million, or 4.4% (+4.3% constant currency). Remaining sales consisted of direct shipments to distributors, customers and agents in other European countries, including e-commerce. 17 Net sales reported for the United Kingdom include net sales made in Ireland. 18 Other includes certain other non-core brands owned by the Group, such as Gregory, High Sierra, Kamiliant, ebags, Xtrem, Lipault, Hartmann, Saxoline and Secret. 19 \\\u0022Other\\\u0022 primarily consists of licensing revenue. 20 Net working capital efficiency is calculated as net working capital (the sum of inventories and trade and other receivables, minus accounts payable) divided by annualized net sales. 21 For the six months ended June 30, 2024, the Group spent US$39.1 million and US$2.1 million on capital expenditures and software purchases, respectively. For the six months ended June 30, 2023, the Group spent US$20.9 million and US$4.8 million on capital expenditures and software purchases, respectively.\\n\\nNon-IFRS Measures The Company has presented certain non-IFRS measures in this press release because each of these measures provides additional information that management believes is useful for securities analysts, investors and other interested parties to gain a more complete understanding of the Group\u0027s operational performance and of the trends impacting its business. These non-IFRS measures, as calculated herein, may not be comparable to similarly named measures used by other companies, and should not be considered comparable to IFRS measures. Refer to the relevant announcement\\\/report published by the Company for the corresponding period for reconciliations of the Group\u0027s non-IFRS Accounting Standards financial information. Non-IFRS measures have limitations as an analytical tool and should not be considered in isolation from, or as a substitute for, an analysis of the Group\u0027s financial results as reported under IFRS Accounting Standards.\\n\\nForward-looking Statements This press release contains forward-looking statements. Forward-looking statements reflect the Company\u0027s current views with respect to future events and performance. These statements may discuss, among other things, the Company\u0027s net sales, gross profit margin, operating profit, Adjusted Net Income, Adjusted EBITDA, Adjusted EBITDA margin, cash flow, liquidity and capital resources, potential impairments, growth, strategies, plans, achievements, distributions, organizational structure, future store openings or closings, market opportunities and general market and industry conditions. The Company generally identifies forward-looking statements by words such as \\\u0022expect\\\u0022, \\\u0022seek\\\u0022, \\\u0022believe\\\u0022, \\\u0022plan\\\u0022, \\\u0022intend\\\u0022, \\\u0022estimate\\\u0022, \\\u0022project\\\u0022, \\\u0022anticipate\\\u0022, \\\u0022may\\\u0022, \\\u0022will\\\u0022, \\\u0022would\\\u0022 and \\\u0022could\\\u0022 or similar words or statements. Forward-looking statements are based on beliefs and assumptions made by management using currently available information. These statements are only predictions and are not guarantees of future performance, actions or events. Forward-looking statements are subject to risks and uncertainties.\\n\\nIf one or more of these risks or uncertainties materialize, or if management\u0027s underlying beliefs and assumptions prove incorrect, actual results may differ materially from those contemplated by a forward-looking statement. Among the factors that could cause actual results to differ materially are: the effect of worldwide economic conditions; the effect of political or social unrest and armed conflict; the effects of inflation; a general economic downturn or generally reduced consumer spending; significant changes in consumer spending patterns or preferences; competition; interruptions or delays in the supply of finished goods or key components; the performance of the Group\u0027s products within the prevailing retail environment; and financial difficulties encountered by customers and related bankruptcy and collection issues.\\n\\nForward-looking statements speak only as of the date on which they are made. The Company\u0027s shareholders, potential investors and other interested parties should not place undue reliance on these forward-looking statements. The Company expressly disclaims any obligation to update or revise any forward-looking statement, whether as a result of new information, future events or otherwise, except as required by applicable securities laws and regulations.\\n\\nRounding Certain amounts presented in this press release have been rounded up or down to the nearest tenth of a million, unless otherwise indicated. There may therefore be discrepancies between the actual totals of the individual amounts in the tables and the totals shown, between the amounts in the tables and the amounts given in the corresponding analyses in the text of this press release and between amounts in this press release and other publicly available documents. All percentages and key figures were calculated using the underlying data in whole US Dollars. Cision\\n\\nView original content:https:\\\/\\\/www.prnewswire.com\\\/news-releases\\\/samsonite-international-sa-announces-results-for-the-six-months-ended-june-30-2024-302222282.html\\n\\nSOURCE Samsonite\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/samsonite-international-announces-results-six-113200701.html\u0022,\u0022symbols\u0022:[\u00221910.HK\u0022,\u00221SO.BE\u0022,\u00221SO.F\u0022,\u00221SO.MU\u0022,\u00221SO.STU\u0022,\u0022SMSEY.US\u0022,\u0022SMSOF.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.025,\u0022neu\u0022:0.843,\u0022pos\u0022:0.132},\u0022time_elapsed_date\u0022:\u00221 month ago\u0022},{\u0022date\u0022:\u00222024-08-14T09:30:00+00:00\u0022,\u0022title\u0022:\u0022Samsonite to pursue dual listing in US, implement US$200-million share buy-back\u0022,\u0022content\u0022:\u0022Luggage maker Samsonite International has decided to pursue a second stock listing in the United States, its single-biggest market by sales, to reach more investors and boost liquidity of the firm\u0027s shares.\\n\\nSamsonite, which has been listed in Hong Kong since 2011, revealed that initiative in its interim results on Wednesday, ending months of speculation after initially mentioning the dual-listing plan in March.\\n\\n\\\u0022The company believes this dual listing will build on its strong investor support on the Hong Kong stock exchange and help the company continue to deliver on its value-creation goals,\\\u0022 the company said in its filing. \\\u0022The listing is also expected to increase liquidity of the company\u0027s shares and create an opportunity to reach investors in the US that is an important part of the company\u0027s global footprint and growth driver for its business.\\\u0022\\n\\nDo you have questions about the biggest topics and trends from around the world? Get the answers with SCMP Knowledge, our new platform of curated content with explainers, FAQs, analyses and infographics brought to you by our award-winning team.\\n\\nThe company also announced a share buy-back programme of up to US$200 million.\\n\\nSamsonite said its dual-listing plan would help the firm \\\u0022continue to deliver on its value-creation goal\\\u0022. Photo: Shutterstock alt=Samsonite said its dual-listing plan would help the firm \\\u0022continue to deliver on its value-creation goal\\\u0022. Photo: Shutterstock\u003E\\n\\nThe company\u0027s plan reflects how Hong Kong\u0027s market valuation has cheapened through the past three years.\\n\\nHang Seng Index members are now trading at about 9.6 times forward earnings on average, according to Bloomberg data, versus about 13 times before the Covid-19 outbreak in early 2020.\\n\\nNew stock offerings in Hong Kong hit the lowest in two decades in the first half of this year, putting the city at 13th place in a global ranking of initial public offering markets. The New York Stock Exchange and the Nasdaq ranked first and second, respectively, in the same period.\\n\\nSamsonite on Wednesday reported a net profit of US$164.3 million in the first half of this year, up 7.7 per cent from the same period last year. Excluding foreign-currency effects, the increase was 16.1 per cent.\\n\\nNet sales slipped 0.4 per cent to US$1.77 billion. Still, that amounted to 2.8 per cent on a constant currency basis compared to \\\u0022a record first half in 2023 that was fuelled by strong travel demand and consumer spending, as well as large wholesale customers rebuilding their inventory levels\\\u0022, the company said.\\n\\nStory continues\\n\\nSamsonite backpacks are seen in a store in Shanghai. Photo: Shutterstock alt=Samsonite backpacks are seen in a store in Shanghai. Photo: Shutterstock\u003E\\n\\nUS net sales fell 0.2 per cent to US$575 million, while China revenue rose 3.8 per cent. The whole of Asia recorded net sales of US$680 million.\\n\\nSamsonite\u0027s shares declined 2.5 per cent to HK$21.15 on Wednesday, widening the loss this year to 16.2 per cent.\\n\\nThe Luxembourg and Massachusetts-based company is worth HK$30.9 billion at its current market price.\\n\\nThis article originally appeared in the South China Morning Post (SCMP), the most authoritative voice reporting on China and Asia for more than a century. For more SCMP stories, please explore the SCMP app or visit the SCMP\u0027s Facebook and Twitter pages. Copyright \\u00a9 2024 South China Morning Post Publishers Ltd. All rights reserved.\\n\\nCopyright (c) 2024. South China Morning Post Publishers Ltd. All rights reserved.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/samsonite-pursue-dual-listing-us-093000750.html\u0022,\u0022symbols\u0022:[\u00221910.HK\u0022,\u00221SO.BE\u0022,\u00221SO.F\u0022,\u00221SO.MU\u0022,\u00221SO.STU\u0022,\u0022HSI.INDX\u0022,\u0022S3T.STU\u0022,\u0022SMSEY.US\u0022,\u0022SMSOF.US\u0022,\u0022SSTK.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.993,\u0022neg\u0022:0.011,\u0022neu\u0022:0.888,\u0022pos\u0022:0.101},\u0022time_elapsed_date\u0022:\u00221 month ago\u0022},{\u0022date\u0022:\u00222024-05-17T12:43:11+00:00\u0022,\u0022title\u0022:\u0022Stocks to watch next week: Nvidia, Marks \u0026amp; Spencer, Ryanair and UK inflation\u0022,\u0022content\u0022:\u0022Nvidia earnings are coming but the rally can\u0027t continue forever. (AFP Contributor via Getty Images)\\n\\nEarnings season is coming to an end but some major names are yet to report. Investors have some high expectations for some of the key companies reporting next week such as Nvidia and Marks and Spencer.\\n\\nHere\u0027s what to look out for:\\n\\nNvidia (NVDA) \\u2014 Reports on Wednesday 22 May\\n\\nThe darling of AI and technology investors will report results from its first quarter of fiscal year 2025 on 22 May.\\n\\nThe AI boom would not be possible without the chips from Nvidia, with the chipmaker seeing shares surge by 239% last year.\\n\\nWith demand far outstripping supply for its graphics processing units, investors will want to know if Nvidia \\u2014 the last of the Mag 7 to report \\u2014 can keep driving the AI-related rally the market enjoyed over the past year.\\n\\nADVERTISEMENT\\n\\nNvidia is anticipated to report earnings of $5.49 per share for the current quarter, marking an increase of 403.7% from the same quarter last year.\\n\\nThe earnings are projected to be $23.94 per share and a revenue of $106.05bn (\\u00a383.8bn) for the entire fiscal year, according to TradingView.\\n\\nRead more: Mag 7 stocks including Apple and Amazon still holding strong\\n\\n\\\u0022The AI hype-train is not only rolling but delivering, as far as Nvidia is concerned. Momentum investors seem happy to pile in, although value seekers are likely to be more reticent, given the lofty valuation which leaves little room for error. In the final quarter of fiscal 2023, Nvidia ran a $2.7bn share buyback,\\\u0022 Russ Mould, investment director, Danni Hewson, head of financial analysis, and Dan Coatsworth, investment analyst, all of AJ Bell, wrote.\\n\\nHowever, investors that want to jump in on the AI race now, hoping that Nvidia will reach even higher highs, might be disappointed.\\n\\n\\\u0022Bears have little to chew upon, barring a meteoric share price rise, a premium valuation and seemingly universal enthusiasm for the stock. The $2.3tn market capitalisation equates to around 40 times this year\\u2019s earnings (when the S\u0026P 500 (^GSPC) trades on around 21-22 times, according to research from S\u0026P Global and Capital IQ) and 20 times forecast annual sales,\\\u0022 they added.\\n\\nStory continues\\n\\nStill, Nvidia is leading the race in the AI \\\u0022gold rush\\\u0022 and a survey revealed that the stock is rivalling gold (GC=F) as a possible hedge against inflation.\\n\\nGold is still seen as the best safeguard against the risk of rising prices, according to 46% of survey participants. But nearly a third said the tech mega caps are their first pick for the role.\\n\\nNvidia\u0027s chief Jenson Huang received a 60% pay bump in the corporation\u0027s fiscal 2024 on the back of a massive rally in the share price.\\n\\nHuang\u0027s package swelled to $34.16m versus $21.35m in the prior year. This was comprised of an unchanged base salary of $996,515, stock awards of $26.67m, non-equity incentive compensation of $4m and all other compensation of $2.494m.\\\u0022\\n\\nMarks \u0026 Spencer (MKS.L) \\u2014 Reports on Wednesday 22 May\\n\\n\\u200b\\u200bInvestors expect Marks \u0026 Spencer\\u2019s upcoming full year earnings to show an ongoing recovery for the British retailer.\\n\\nAnalysts have nudged up the consensus underlying pre-tax profit forecast for the year to March 2024 to \\u00a3653m, compared to the range of \\u00a3550m to \\u00a3600m that had prevailed before the interims, according to AJ Bell.\\n\\n\\\u0022Shares in Marks \u0026 Spencer are trading very close to five-year highs, and they rank as the second-best performers within the ranks of the FTSE 100 (^FTSE) over the past 12 months. However, the share price is almost unchanged in 2024 and that slight loss of momentum may reflect, bottom up, management\\u2019s efforts to keep a lid on earnings forecasts and, top down, the delay on the long-awaited interest cuts from the Bank of England,\\\u0022 the investment platform analysts said.\\n\\nAdding to the positive sentiment surrounding M\u0026S shares is the recent bullish stance taken by several brokers. Last month, both JPMorgan and Jefferies upgraded the stock to the equivalent of \\\u0022buy\\\u0022 ratings.\\n\\n\\\u0022Such broker upgrades often serve as a positive factor for a stock\u0027s performance, as they can influence investor sentiment and attract additional demand,\\\u0022 Chris Beauchamp, chief market analyst at IG, wrote.\\n\\nFor the current fiscal year, the dividend forecast stands at 6.2p, representing a yield of 2.3% at the current share price.\\n\\n\\\u0022Notably, this dividend forecast is nearly double the figure for the previous year ended 31 March. With dividends on the rise, M\u0026S could potentially attract a new set of investors seeking passive income streams,\\\u0022 he added.\\n\\nRyanair (RYA.IR) \\u2014 Reports on Monday 20 May\\n\\nLow-budget airlines benefited from Easter falling early this year and investors would be keen to see if the Boeing (BA) delivery delays will impact Ryanair\u0027s results.\\n\\nAnalysts expect revenue to have jumped 24% in the year ended 31 March, overcoming delayed Boeing deliveries and issues with third-party online travel agents.\\n\\nHowever, CEO Michael O\\u2019Leary\\u2019s recent warning that summer ticket prices are not rising as much as expected sent chills through the sector.\\n\\nAnnual adjusted net income is seen up 33%, although the net loss probably swelled in the fourth quarter, seasonally the company\\u2019s weakest, consensus shows, according to Bloomberg Intelligence.\\n\\n\\u200bLSEG Refinitiv data shows a consensus analyst rating of \\\u0022buy\\\u0022 for Ryanair with six strong buy, 14 buy and one hold \\u2014 and a mean of estimates suggesting a long-term price target of \\u20ac25.60 for the share, roughly 34% higher than the current price.\\n\\nRead more: Eurozone interest rate cut expectations rise as inflation hits 2.4% in April\\n\\n\\u200b\\\u0022Ryanair has taken measures to expand its fleet to 536 aircraft as of September 2023 to meet improving travel demand. However, the budget carrier was impacted by over 800 flight cancellations in February due to conflicts between Israel and Gaza,\\\u0022 Axel Rudolph, market analyst at IG, wrote.\\n\\n\\u200b\\\u0022As travel continues recovering from pandemic disruptions, easyJet (EZJ.L) and Ryanair\u0027s ability to contain costs and execute on growth plans will be key for sustaining profitability momentum,\\\u0022 he added.\\n\\nDeutsche Bank has warned of another tough year for the European airline industry, but pointed to some positive news for the near term.\\n\\nUK inflation \\u2014Wednesday 22 May\\n\\nNot a stock, but definitely market moving data that investors will need to watch out for \\u2014 the latest UK inflation figures coming out.\\n\\nThe market\u0027s expectation is that headline inflation eased to 2.7% in April and that core inflation retreated to 3.6%.\\n\\n\\\u0022If correct, this should increase the chances of a rate cut in June,\\\u0022 Tony Sycamore, market analyst at IUG, wrote.\\n\\nThe consumer prices index dropped to a two and a half-year low of 3.2% in March, according to the Office for National Statistics, which was down from 3.4% the previous month but higher than economists\\u2019 forecasts of 3.1%.\\n\\nCore inflation, which strips out energy, food, alcohol and tobacco, dropped to 4.2% in March from 4.5% in the previous month. Analysts expected a drop to 4.1%.\\n\\n\\\u0022Much hinges on the April CPI data due later in May, which is when we\\u2019ll see the results of the annual contract-linked price rises that typically take place at the start of the year. Our rough estimates suggest 40% of the services inflation basket is affected by these annual price hikes to some degree, and last year\\u2019s data release was much stronger than expected, prompting the single biggest daily increase in two-year swap rates in 2023 as a whole,\\\u0022 ING wrote.\\n\\nThe Office for National Statistics (ONS) will release the latest figures this Wednesday.\\n\\nOther companies reporting next week include:\\n\\nMonday 20 May\\n\\nBig Yellow (BYG.L)\\n\\nKainos (KNOS.L)\\n\\nPalo Alto Networks (PANW)\\n\\nZoom Video Communications (ZM)\\n\\nTuesday 21 May\\n\\nCranswick (CWK.L)\\n\\nPennon (PNN.L)\\n\\nAssura (AGR.L)\\n\\nSSP (SSPG.L)\\n\\nGreencore (GNC.L)\\n\\nSmiths Group (SMIN.L)\\n\\nKingfisher (KGF.L)\\n\\nDowlais (DWL.L)\\n\\nSony (SONY)\\n\\nAsahi (2502.T)\\n\\nRakuten (5838.T)\\n\\nSamsonite (SMSEY)\\n\\nTencent (0700.HK)\\n\\nGenerali (G.MI)\\n\\nLowe\\u2019s (LOW)\\n\\nAutoZone (AZO)\\n\\nAmer Sports (AS)\\n\\nMacy\\u2019s (M)\\n\\nUrban Outfitters (URBN)\\n\\nWednesday 22 May\\n\\nSSE (SSE.L)\\n\\nRS Group (RS1.L)\\n\\nBritish Land (BLND.L)\\n\\nIntegrafin (IHP.L)\\n\\nCoats (COA.L)\\n\\nXiaomi (1810.HK)\\n\\nSoitec (SOI.PA)\\n\\nAnalog Devices (ADI)\\n\\nTarget (TGT)\\n\\nSnowflake (SNOW)\\n\\nThursday 23 May\\n\\nNational Grid (NG.L)\\n\\nJohnson Matthey (JMAT.L)\\n\\nInternational Distribution Services (IDS.L)\\n\\nTate \u0026 Lyle (TATE.L)\\n\\nWizz Air (WIZZ.L)\\n\\nQinetiQ (QQ.L)\\n\\nBloomsbury Publishing (BMY.L)\\n\\nGreat Portland Estates (GPE.L)\\n\\nAviva (AV.L)\\n\\nPetershill Partners (PHLL.L)\\n\\nHill \u0026 Smith (HILS.L)\\n\\nMeituan (3690.HK)\\n\\nLenovo (0992.HK)\\n\\nMedtronic (MDT)\\n\\nDollar Tree (DLTR)\\n\\nRalph Lauren (RL)\\n\\nPolestar (PSNY)\\n\\nFriday 24 May\\n\\nIntertek (ITRK.L)\\n\\nYou can read Yahoo Finance\u0027s full calendar here.\\n\\nWatch: Nvidia: One thing this strategist thinks could threaten growth\u003Ca data-i13n=\\\\\\\u0022cpos:1;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/video\\\/ai-impacting-q1-earnings-214124185.html\\\\\\\u0022\u003EArtificial intelligence has emerged as a transformative technology,\u003C\\\/a\u003E with tech giants increasingly investing in its development. Semiconductor companies like Nvidia (\u003Ca data-i13n=\\\\\\\u0022cpos:2;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/quote\\\/NVDA\\\\\\\u0022\u003ENVDA\u003C\\\/a\u003E) are some of the biggest beneficiaries. Futurum Chief Market Strategist Cory Johnson joins Market Domination Overtime to share his insights on Nvidia\u0027s prospects \u003Ca data-i13n=\\\\\\\u0022cpos:3;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/video\\\/nvidia-q1-earnings-expect-144207780.html\\\\\\\u0022\u003Eahead of its upcoming earnings report.\u003C\\\/a\u003E\u003C\\\/p\u003E\\\\n\u003Cp\u003ERegarding Nvidia\u0027s sustained growth trajectory, Johnson states, \\\\\\\u0022we\u0027ve never seen anything like this.\\\\\\\u0022 He highlights the company\u0027s ability to \u003Ca data-i13n=\\\\\\\u0022cpos:4;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/video\\\/nvidia-gtc-depth-look-product-140147363.html\\\\\\\u0022\u003Econtinuously innovate\u003C\\\/a\u003E, introduce new products, and \u003Ca data-i13n=\\\\\\\u0022cpos:5;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/video\\\/nvidia-earnings-keybanc-capital-sees-194356782.html\\\\\\\u0022\u003Esell everything it manufactures,\u003C\\\/a\u003E solidifying its position as a powerhouse in the rapidly evolving AI landscape. Johnson also notes that Nvidia has substantial pricing power, contributing significantly to its margin growth. However, he points out one concern: tech giants themselves are actively pursuing projects to replicate Nvidia\u0027s chips in-house.\u003C\\\/p\u003E\\\\n\u003Cp\u003E\\\\\\\u0022When all your customers are trying to invent a competitor to the product that you are selling them, you might wanna worry about that,\\\\\\\u0022 Johnson tells Yahoo Finance.\u003C\\\/p\u003E\\\\n\u003Cp\u003EFor more expert insight and the latest market action, click \u003Ca data-i13n=\\\\\\\u0022cpos:6;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/finance.yahoo.com\\\/video\\\/dow-surpasses-40-000-walmart-171726863.html\\\\\\\u0022\u003Ehere\u003C\\\/a\u003E to watch this full episode of Market Domination Overtime.\u003C\\\/p\u003E\\\\n\u003Cp\u003E\u003Cem\u003EThis post was written by \u003C\\\/em\u003E\u003Ca data-i13n=\\\\\\\u0022cpos:7;pos:1\\\\\\\u0022 href=\\\\\\\u0022https:\\\/\\\/www.yahoo.com\\\/author\\\/angel-smith\\\/\\\\\\\u0022\u003E\u003Cem\u003EAngel Smith\u003C\\\/em\u003E\u003C\\\/a\u003E\\\u0022,\\\u0022thumbnailUrl\\\u0022:\\\u0022https:\\\/\\\/s.yimg.com\\\/uu\\\/api\\\/res\\\/1.2\\\/WFAhrizpLi4el9CxHfxeZA--~B\\\/aD0yODEyO3c9NTAwMDthcHBpZD15dGFjaHlvbg--\\\/https:\\\/\\\/s.yimg.com\\\/os\\\/creatr-uploaded-images\\\/2024-05\\\/8eb0a430-13c9-11ef-bdfd-290247b07c2d\\\u0022,\\\u0022duration\\\u0022:\\\u0022PT3M32S\\\u0022,\\\u0022contentUrl\\\u0022:\\\u0022https:\\\/\\\/video.media.yql.yahoo.com\\\/v1\\\/video\\\/sapi\\\/hlsstreams\\\/89f6b9ea-0fbc-341a-8706-79b2263592bc.m3u8?site=finance\u0026region=GB\u0026lang=en-GB\u0026devtype=desktop\u0026src=sapi\\\u0022,\\\u0022embedUrl\\\u0022:\\\u0022https:\\\/\\\/uk.finance.yahoo.com\\\/video\\\/nvidia-one-thing-strategist-thinks-211631768.html?format=embed\\\u0022,\\\u0022identifier\\\u0022:\\\u002289f6b9ea-0fbc-341a-8706-79b2263592bc\\\u0022}\\n\\nDownload the Yahoo Finance app, available for Apple and Android.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/uk.finance.yahoo.com\\\/news\\\/nvidia-marks-spencer-ryanair-uk-inflation-stocks-watch-124311583.html\u0022,\u0022symbols\u0022:[\u00220700.HK\u0022,\u00220992.HK\u0022,\u00220A1O.LSE\u0022,\u00220BOE.LSE\u0022,\u00220HFN.LSE\u0022,\u00220HJL.LSE\u0022,\u00220IC8.LSE\u0022,\u00220JVQ.LSE\u0022,\u00220JXD.LSE\u0022,\u00220KTS.LSE\u0022,\u00220LD8.LSE\u0022,\u00220RMT.LSE\u0022,\u00220RYA.IL\u0022,\u00220RYA.LSE\u0022,\u00220U6.F\u0022,\u00220Y6X.LSE\u0022,\u00221810.HK\u0022,\u00221910.HK\u0022,\u00221KG.F\u0022,\u00221SO.BE\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.042,\u0022neu\u0022:0.843,\u0022pos\u0022:0.115},\u0022time_elapsed_date\u0022:\u00224 months ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-11-11\u0022,\u0022exception\u0022:null}"},{"id":1710,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022WK\u0022,\u0022stockName\u0022:\u0022Workiva 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Software\u0022,\u0022HomeCategory\u0022:\u0022Domestic\u0022,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022Workiva Inc., together with its subsidiaries, provides cloud-based reporting solutions in the United States and internationally. The company offers Workiva platform, a multi-tenant cloud software that provides data linking capabilities; audit trail services; administrators access management; and allows customers to connect data from multiple enterprise resource planning, human capital management, and customer relationship management systems, as well as other third-party cloud and on-premise applications. It serves public and private companies, government agencies, and higher-education institutions. 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Q2 Earnings: Marqeta (NASDAQ:MQ) In The Context Of Other Finance and HR Software Stocks\u0022,\u0022content\u0022:\u0022Unpacking Q2 Earnings: Marqeta (NASDAQ:MQ) In The Context Of Other Finance and HR Software Stocks\\n\\nAs the Q2 earnings season wraps, let\\u2019s dig into this quarter\\u2019s best and worst performers in the finance and HR software industry, including Marqeta (NASDAQ:MQ) and its peers.\\n\\nOrganizations are constantly looking to improve organizational efficiencies, whether it is financial planning, tax management or payroll. Finance and HR software benefit from the SaaS-ification of businesses, large and small, who much prefer the flexibility of cloud-based, web-browser delivered software paid for on a subscription basis than the hassle and expense of purchasing and managing on-premise enterprise software.\\n\\nThe 15 finance and HR software stocks we track reported a slower Q2. As a group, revenues beat analysts\\u2019 consensus estimates by 1.5% while next quarter\\u2019s revenue guidance was 0.5% below.\\n\\nThe Fed cut its policy rate by 50bps (half a percent) in September 2024, the first in roughly four years. This marks the end of its most pointed inflation-busting campaign since the 1980s. While CPI (inflation) readings have been supportive lately, employment measures have bordered on worrisome. The markets will be assessing whether this rate cut\u0027s timing (and more potential ones in 2024 and 2025) is ideal for supporting the economy or a bit too late for a macro that has already cooled too much.\\n\\nThankfully, finance and HR software stocks have been resilient with share prices up 6.2% on average since the latest earnings results.\\n\\nMarqeta (NASDAQ:MQ)\\n\\nFounded by CEO Jason Gardner in 2009, Marqeta (NASDAQ: MQ) is an innovative card issuer that provides companies with the ability to issue and process virtual, physical, and tokenized credit and debit cards.\\n\\nMarqeta reported revenues of $125.3 million, down 45.8% year on year. This print exceeded analysts\\u2019 expectations by 3.1%. Overall, it was a satisfactory quarter for the company with a decent beat of analysts\\u2019 total payment volume estimates but a decline in its gross margin.\\n\\n\\\u0022The second quarter demonstrates the great returns on our reinvigorated go-to-market approach combined with our ability to deliver innovation at scale. We signed a pioneering techbank, launched a new payment innovation that reimagines what a card can be, and deepened the array of services we can offer globally, all while continuing to grow our TPV and operate with focused efficiency,\\u201d said Simon Khalaf, CEO at Marqeta. Marqeta Total Revenue\\n\\nMarqeta delivered the slowest revenue growth of the whole group. Interestingly, the stock is up 3.4% since reporting and currently trades at $5.10.\\n\\nIs now the time to buy Marqeta? Access our full analysis of the earnings results here, it\\u2019s free.\\n\\nStory continues\\n\\nBest Q2: Zuora (NYSE:ZUO)\\n\\nFounded in 2007, Zuora (NYSE:ZUO) offers software as a service platform that allows companies to bill and accept payments for recurring subscription products.\\n\\nZuora reported revenues of $115.4 million, up 6.8% year on year, outperforming analysts\\u2019 expectations by 2.5%. The business had a strong quarter with an impressive beat of analysts\\u2019 billings estimates and in-line revenue guidance for the next quarter. Zuora Total Revenue\\n\\nThe market seems content with the results as the stock is up 1.5% since reporting. It currently trades at $8.64.\\n\\nIs now the time to buy Zuora? Access our full analysis of the earnings results here, it\\u2019s free.\\n\\nGlobal Business Travel (NYSE:GBTG)\\n\\nHolding close ties to American Express, Global Business Travel (NYSE:GBTG) is a comprehensive travel and expense management services provider to corporations worldwide.\\n\\nGlobal Business Travel reported revenues of $625 million, up 5.6% year on year, falling short of analysts\\u2019 expectations by 1.1%. It was a disappointing quarter as it posted full-year revenue guidance missing analysts\\u2019 expectations.\\n\\nInterestingly, the stock is up 25.7% since the results and currently trades at $7.58.\\n\\nRead our full analysis of Global Business Travel\\u2019s results here.\\n\\nWorkiva (NYSE:WK)\\n\\nFounded in 2010, Workiva (NYSE:WK) offers software as a service product that makes financial and compliance reporting easier, especially for publicly traded corporations.\\n\\nWorkiva reported revenues of $177.5 million, up 14.5% year on year. This print surpassed analysts\\u2019 expectations by 1.3%. Aside from that, it was a satisfactory quarter as it also logged accelerating customer growth but a miss of analysts\\u2019 billings estimates.\\n\\nWorkiva delivered the highest full-year guidance raise among its peers. The company added 72 enterprise customers paying more than $100,000 annually to reach a total of 1,768. The stock is up 7.3% since reporting and currently trades at $77.80.\\n\\nRead our full, actionable report on Workiva here, it\\u2019s free.\\n\\nFlywire (NASDAQ:FLYW)\\n\\nOriginally created to process international tuition payments for universities, Flywire (NASDAQ:FLYW) is a cross border payments processor and software platform focusing on complex, high-value transactions like education, healthcare and B2B payments.\\n\\nFlywire reported revenues of $103.7 million, up 22.2% year on year. This number beat analysts\\u2019 expectations by 3.3%. Aside from that, it was a mixed quarter as it also produced full-year revenue guidance topping analysts\\u2019 expectations but a decline in its gross margin.\\n\\nFlywire delivered the fastest revenue growth among its peers. The stock is down 7.9% since reporting and currently trades at $16.38.\\n\\nRead our full, actionable report on Flywire here, it\\u2019s free.\\n\\nJoin Paid Stock Investor Research\\n\\nHelp us make StockStory more helpful to investors like yourself. Join our paid user research session and receive a $50 Amazon gift card for your opinions. Sign up here.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/unpacking-q2-earnings-marqeta-nasdaq-090739728.html\u0022,\u0022symbols\u0022:[\u00220WKA.F\u0022,\u00220WKA.STU\u0022,\u00222ZU.STU\u0022,\u0022FLYW.US\u0022,\u0022GBTG.US\u0022,\u0022MQ.US\u0022,\u0022WK.US\u0022,\u0022ZUO.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.026,\u0022neu\u0022:0.826,\u0022pos\u0022:0.147},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022},{\u0022date\u0022:\u00222024-09-20T13:30:00+00:00\u0022,\u0022title\u0022:\u0022Navigating Scope 3: Est\\u00e9e Lauder\u0027s Path to Carbon Reduction\u0022,\u0022content\u0022:\u0022NORTHAMPTON, MA \\\/ ACCESSWIRE \\\/ September 20, 2024 \\\/ Workiva\\n\\nIn the fourth and final episode of the ESG Talk Climate Week series, Nancy Mahon, chief sustainability officer of the Est\\u00e9e Lauder Companies, joins host Alyssa Zucker to discuss the company\u0027s approach to Scope 3 measurement and reporting. They cover the impact of consumer sustainability preferences and the unique challenges of leading sustainability efforts across a diverse portfolio of brands.\\n\\nListen Now\\n\\nLooking for more? Subscribe to the ESG Talk podcast on Apple, Spotify, and YouTube.\\n\\nESG Talk is brought to you by Workiva, the world\u0027s only unified platform for financial reporting, ESG, audit, and risk. Learn more at workiva.com.\\n\\nView additional multimedia and more ESG storytelling from Workiva on 3blmedia.com.\\n\\nContact Info:\\r\\nSpokesperson: Workiva\\r\\nWebsite: https:\\\/\\\/www.3blmedia.com\\\/profiles\\\/workiva\\r\\nEmail: info@3blmedia.com\\n\\nSOURCE: Workiva\\n\\nView the original press release on accesswire.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/navigating-scope-3-est-e-133000054.html\u0022,\u0022symbols\u0022:[\u00220WKA.F\u0022,\u00220WKA.STU\u0022,\u0022WK.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.477,\u0022neg\u0022:0.015,\u0022neu\u0022:0.94,\u0022pos\u0022:0.045},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022},{\u0022date\u0022:\u00222024-09-18T14:28:56+00:00\u0022,\u0022title\u0022:\u0022Should You be Optimistic on Workiva (WK)?\u0022,\u0022content\u0022:\u0022TimesSquare Capital Management, an equity investment management company, released its \\u201cU.S. Small Cap Growth Strategy\\u201d second-quarter 2024 investor letter. A copy of the letter can be downloaded here. In the quarter the fund returned -1.59% (gross) and -1.83% (net), compared to a -2.92% return for the Russell 2000 Growth Index. The equity markets performed well in the second quarter, as long as one held only a handful of the biggest, fastest-growing U.S. stocks. Despite profitability turning positive this quarter following negative or neutral results in previous quarters, momentum remained the most important component in the worldwide market. In addition, please check the fund\\u2019s top five holdings to know its best picks in 2024.\\n\\nTimesSquare Capital Management U.S. Small Cap Growth Strategy highlighted stocks like Workiva Inc. (NYSE:WK), in the second quarter 2024 investor letter. Workiva Inc. (NYSE:WK) offers cloud-based reporting solutions. The one-month return of Workiva Inc. (NYSE:WK) was -2.69%, and its shares lost 28.66% of their value over the last 52 weeks. On September 17, 2024, Workiva Inc. (NYSE:WK) stock closed at $76.88 per share with a market capitalization of $4.244 billion.\\n\\nTimesSquare Capital Management U.S. Small Cap Growth Strategy stated the following regarding Workiva Inc. (NYSE:WK) in its Q2 2024 investor letter:\\n\\n\\\u0022Among the wide variety of Information Technology companies, we prefer critical system providers, specialized component designers, systems that improve productivity or efficiency for their clients, and others that closely tie to increasing shares of corporate IT budgets. Workiva Inc. (NYSE:WK) supplies cloud-based reporting solutions. First quarter revenues outstripped sell-side projections due to higher subscription and support levels. Billings, however, fell short in a seasonally slower quarter. Their productivity focus and thoughtful hiring are driving margin improvement. Generative AI capabilities have been well received by customers. Management is optimistic about better bookings performance for the remainder of the year. Its shares dropped by -14% and we added to the position on weakness.\\\u0022\\n\\nA software engineer debugging a compliance code on a laptop in a modern office setting.\\n\\nWorkiva Inc. (NYSE:WK) is not on our list of 31 Most Popular Stocks Among Hedge Funds. As per our database, 19 hedge fund portfolios held Workiva Inc. (NYSE:WK) at the end of the second quarter which was 22 in the previous quarter. Workiva Inc. (NYSE:WK) generated $177.5 million in revenues, up 15% from Q2 2023. While we acknowledge the potential of Workiva Inc. (NYSE:WK) as an investment, our conviction lies in the belief that AI stocks hold greater promise for delivering higher returns, and doing so within a shorter timeframe. If you are looking for an AI stock that is as promising as NVIDIA but that trades at less than 5 times its earnings, check out our report about the cheapest AI stock.\\n\\nStory continues\\n\\nIn another article, we discussed Workiva Inc. (NYSE:WK) and shared the list of best cloud stocks to buy according to short sellers. Artisan Small Cap Fund trimmed Workiva Inc. (NYSE:WK) during Q2 2024 due to concerns over a potential shift in corporate spending from enterprise software to AI. In addition, please check out our hedge fund investor letters Q2 2024 page for more investor letters from hedge funds and other leading investors.\\n\\nREAD NEXT:\\u00a0Michael Burry Is Selling These StocksandA New Dawn Is Coming to US Stocks.\\n\\nDisclosure: None. This article is originally published at Insider Monkey.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/optimistic-workiva-wk-142856106.html\u0022,\u0022symbols\u0022:[\u00220WKA.F\u0022,\u00220WKA.STU\u0022,\u0022WK.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.989,\u0022neg\u0022:0.018,\u0022neu\u0022:0.874,\u0022pos\u0022:0.108},\u0022time_elapsed_date\u0022:\u00222 weeks ago\u0022},{\u0022date\u0022:\u00222024-09-08T05:47:14+00:00\u0022,\u0022title\u0022:\u0022Why Is Workiva Inc. (WK) Among the Best Cloud Stocks to Buy According to Short Sellers?\u0022,\u0022content\u0022:\u0022We recently compiled a list of the 10 Best Cloud Stocks To Buy According to Short Sellers.In this article, we are going to take a look at where Workiva Inc. (NYSE:WK) stands against the other cloud stocks.\\n\\nThe cloud computing market is one of the fastest growing in the technology industry as the ubiquity of the internet allows business to digitally outsource their functions to reduce investment costs and access specialized services. Estimates show that the cloud computing market was worth $480 billion in 2022, and despite its heft, it is expected to grow at a compounded annual growth rate (CAGR) of 17% to be worth a whopping $2.2 trillion by the end of 2032. The three segments of the cloud computing industry are infrastructure as a service (IaaS), software as a service (SaaS), and platform as a service (PaaS).\\n\\nREAD ALSO\\u00a013 Best Tech Stocks to Buy According to Short Sellers and 8 Best EV Stocks According to Short Seller Sentiment\\n\\nThis market, like other mega technology industries, is dominated by mega cap technology companies. As per research from Gartner, the global IaaS market is dominated by five services as of 2023 end. These are AWS, Azure, Google Cloud, Aliyun, and Huawei Cloud. Their market shares are 39%, 23%, 8.2%, 7.9%, and 4.3%, respectively, with all other firms commanding 17.6% of the total market. In terms of revenue, AWS raked in an impressive $54.6 billion in revenue, while the others brought in $32.1 billion, $11.4 billion, $11.1 billion, and $5.9 billion, respectively. AWS\u0027 dominance in the industry is clear as it brought in more than twice the revenue of all other firms that follow Huawei since their cumulative revenue was $24.6 billion.\\n\\nApart from the biggest players, whose valuation metrics are different due to their mature and diverse business models, valuing cloud computing stocks is different from how you\u0027d value other companies. For instance, most firms are valued through their price to earnings (P\\\/E) ratio. This measures the premium that investors are willing to pay for a firm\u0027s earnings, but the ratio becomes useless when we try it to value cloud computing stocks. This is because of the industry\u0027s obsession with growth, and its need for high margins, meaning that cloud cloud computing stocks, and particularly SaaS stocks, reinvest large portions of their revenue back into growth.\\n\\nSo much so that one of the most troubled SaaS companies these days has been aggressively investing in growth despite its shares being down 39.65% year to date. This firm ranks 6th on our list of Ray Dalio\\u2019s Top 10 Growth Stock Picks with 30+% Revenue Growth, with its second quarter product revenue of $868.8 million marking a 28.9% annual growth. However, this growth clearly hasn\u0027t been enough, as the stock tumbled by 14.7% after the latest earnings report. During the same period, this firm\u0027s marketing and research and development expenses sat at $838.2 million, or 96% of its revenue. This is a classic illustration of the cloud computing industry, and one that requires different valuation metrics than the P\\\/E ratio as these firms are not profitable most of the time.\\n\\nThe two key metrics for valuing SaaS stocks in particular are the EV\\\/Revenue and the Rule of 40. A firm\u0027s enterprise value is its market value plus net debt, and when divided by revenue, the resulting ratio measures the premium that a buyer would be willing to pay for a firm over its ability to generate revenue. The Rule of 40 is simpler, as it simply states that the sum of a SaaS firm\u0027s revenue growth rate and profit margin should exceed 40. While this rule is simply a benchmark and not all inclusive of SaaS performance, it does have some key implications. For instance, it implies that if a firm is growing its revenue at or faster than 40%, then it can be unprofitable.\\n\\nOn the flip side, if growth slows down, to say 10%, then it must be highly profitable with margins of at least 30% to show that the lower growth is accompanied by the benefits of the beefy margins that software companies enjoy. McKinsey also substitutes the profit margin with the free cash flow (FCF) margin to further broaden this rule\u0027s scope. A firm\u0027s FCF simply eliminates the impact of interest, taxes, and capital expenditure on the net income. As per its analysis, the top Rule of 40 SaaS companies are investor favorites. This is because McKinsey\u0027s data shows that in a sample size of 100 SaaS companies, those with the 25 highest Rule of 40 scores had median EV\\\/Revenue multiples of 22. This was nearly 22x the overall sample\u0027s 11x, and nearly 3x the bottom 25 firms\u0027 median EV\\\/Revenue multiples of 8. In other words, investors are typically willing to pay a higher premium over sales for SaaS firms that have either robust revenue growth, superior cost control, or a mix of both.\\n\\nFinally, while EV\\\/Revenue and Rule of 40 measure the financial validity and stature of these firms, their stock performance is also tightly linked to the economy and monetary policy. A low interest regime means that businesses can spend more money, which is beneficial for SaaS and cloud computing firms, both. On Wall Street, August has marked a paradigm shift after Fed Chair Jerome Powell confirmed that his organization was satisfied with macroeconomic indicators to cut interest rates. This has also impacted valuations, as the median EV\\\/Sales ratio for the top companies, i.e. Rule of 40 firms with a growth rate higher than 30%, sat at 13.3x as of the latest market close. This is the second highest for the year, with the last high being in May when it sat at 16.3x. This was before a brief rate gloom took over Wall Street in July which saw the flagship S\u0026P index lose 8.5% between mid July and early August.\\n\\nAny discussion of SaaS stocks would be incomplete without a brief discussion of the implications of artificial intelligence. According to hedge fund Coatue Management, SaaS valuations as measured by forward sales are at a historic low right now through a median of 5.5x. This comes with lower growth expectations, as just 1% of SaaS firms are now seeing a median forward growth estimate of 30%+. As for the business model, SaaS firms are seeing a shift from a traditional seat based model that drove revenue from the number of users that were using the services to a consumption driven model. Their lower growth expectations are also somewhat driven by the belief that AI could allow companies to cost effectively create their own code and thereby reduce their reliance on SaaS and cloud computing providers.\\n\\nOur Methodology\\n\\nTo make our list of the best cloud stocks to buy according to short sellers, we ranked the holdings of First Trust\u0027s cloud ETF by the percentage of shares outstanding that were sold short. Then, the stocks with the lowest percentage were selected.\\n\\nWe also mentioned the number of hedge funds that had bought these stocks during the same filing period. Why are we interested in the stocks that hedge funds pile into? The reason is simple: our research has shown that we can outperform the market by imitating the top stock picks of the best hedge funds. Our quarterly newsletter\\u2019s strategy selects 14 small-cap and large-cap stocks every quarter and has returned 275% since May 2014, beating its benchmark by 150 percentage points (see more details here).\\n\\nA software engineer debugging a compliance code on a laptop in a modern office setting.\\n\\nWorkiva Inc. (NYSE:WK)\\n\\nNumber of Hedge Fund Investors\\u00a0 in Q2 2024: 19\\n\\nShort Interest as % of\\u00a0 Shares Outstanding: 0.96%\\n\\nWorkiva Inc. (NYSE:WK) is one of the few companies of its kind that allows financial institutions and others to work with SEC filings for data analysis and other purposes. Key to Workiva Inc. (NYSE:WK)\u0027s business model is its product focus on ESG analysis. This creates opportunities and headwinds for the firm. On the former, since it is among the few firms of its kind, Workiva Inc. (NYSE:WK) dominates the market and controls a 70% share. This is key for its cloud model since it allows the firm to generate hefty recurring revenue. It is also planning to grow its free cash flow margin to 22% by 2027, which should help Workiva Inc. (NYSE:WK)\u0027s Rule of 40 reading. However, the firm faces significant risks in case the investment world shifts away from ESG, and Workiva Inc. (NYSE:WK)\u0027s niche nature also means that its sales conversion cycles are longer than the general industry as investors take their time to evaluate its products.\\n\\nArtisan Partners mentioned Workiva Inc. (NYSE:WK) in its Q1 2024 investor letter. Here is what the firm said:\\n\\n\\\u0022Our profit cycle thesis is based on the company\\u2019s capability to identify and quickly roll out new products, effort to expand beyond North America and opportunity to benefit from increasing ESG regulatory reporting longer term. While the company reported financial results that exceeded expectations, shares declined due to disappointing forward guidance. However, we remain invested on the belief that trends are supportive of multiyear growth.\\\u0022\\n\\nOverall WK ranks 8th on our list of the best cloud stocks to buy according to short sellers. While we acknowledge the potential of WK as an investment, our conviction lies in the belief that some AI stocks hold greater promise for delivering higher returns and doing so within a shorter timeframe. If you are looking for an AI stock that is more promising than WK but that trades at less than 5 times its earnings, check out our report about the cheapest AI stock.\\n\\nREAD NEXT:$30 Trillion Opportunity: 15 Best Humanoid Robot Stocks to Buy According to Morgan Stanley and Jim Cramer Says NVIDIA \\u2018Has Become A Wasteland\\u2019.\\n\\nDisclosure: None. This article is originally published at\\u00a0Insider Monkey.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/why-workiva-inc-wk-among-054714275.html\u0022,\u0022symbols\u0022:[\u00220WKA.F\u0022,\u00220WKA.STU\u0022,\u0022WK.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:1,\u0022neg\u0022:0.037,\u0022neu\u0022:0.809,\u0022pos\u0022:0.154},\u0022time_elapsed_date\u0022:\u00223 weeks ago\u0022},{\u0022date\u0022:\u00222024-08-28T14:45:47+00:00\u0022,\u0022title\u0022:\u0022At US$79.64, Is It Time To Put Workiva Inc. (NYSE:WK) On Your Watch List?\u0022,\u0022content\u0022:\u0022Workiva Inc. (NYSE:WK), might not be a large cap stock, but it saw a decent share price growth of 13% on the NYSE over the last few months. The recent rally in share prices has nudged the company in the right direction, though it still falls short of its yearly peak. With many analysts covering the mid-cap stock, we may expect any price-sensitive announcements have already been factored into the stock\\u2019s share price. However, what if the stock is still a bargain? Today we will analyse the most recent data on Workiva\\u2019s outlook and valuation to see if the opportunity still exists.\\n\\nSee our latest analysis for Workiva\\n\\nWhat Is Workiva Worth?\\n\\nGreat news for investors \\u2013 Workiva is still trading at a fairly cheap price. According to our valuation, the intrinsic value for the stock is $101.85, which is above what the market is valuing the company at the moment. This indicates a potential opportunity to buy low. However, given that Workiva\\u2019s share is fairly volatile (i.e. its price movements are magnified relative to the rest of the market) this could mean the price can sink lower, giving us another chance to buy in the future. This is based on its high beta, which is a good indicator for share price volatility.\\n\\nWhat does the future of Workiva look like? earnings-and-revenue-growth\\n\\nFuture outlook is an important aspect when you\\u2019re looking at buying a stock, especially if you are an investor looking for growth in your portfolio. Buying a great company with a robust outlook at a cheap price is always a good investment, so let\\u2019s also take a look at the company\u0027s future expectations. In the upcoming year, Workiva\u0027s earnings are expected to increase by 47%, indicating a highly optimistic future ahead. This should lead to more robust cash flows, feeding into a higher share value.\\n\\nWhat This Means For You\\n\\nAre you a shareholder? Since WK is currently undervalued, it may be a great time to increase your holdings in the stock. With a positive outlook on the horizon, it seems like this growth has not yet been fully factored into the share price. However, there are also other factors such as financial health to consider, which could explain the current undervaluation.\\n\\nAre you a potential investor? If you\\u2019ve been keeping an eye on WK for a while, now might be the time to enter the stock. Its prosperous future outlook isn\\u2019t fully reflected in the current share price yet, which means it\\u2019s not too late to buy WK. But before you make any investment decisions, consider other factors such as the strength of its balance sheet, in order to make a well-informed investment decision.\\n\\nStory continues\\n\\nIf you\u0027d like to know more about Workiva as a business, it\u0027s important to be aware of any risks it\u0027s facing. To help with this, we\u0027ve discovered 3 warning signs (1 doesn\u0027t sit too well with us!) that you ought to be aware of before buying any shares in Workiva.\\n\\nIf you are no longer interested in Workiva, you can use our free platform to see our list of over 50 other stocks with a high growth potential.\\n\\nHave feedback on this article? Concerned about the content?Get in touch with us directly. Alternatively, email editorial-team (at) simplywallst.com.\\r\\n\\r\\nThis article by Simply Wall St is general in nature. We provide commentary based on historical data and analyst forecasts only using an unbiased methodology and our articles are not intended to be financial advice. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/us-79-64-time-put-144547455.html\u0022,\u0022symbols\u0022:[\u00220WKA.F\u0022,\u00220WKA.STU\u0022,\u0022WK.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.026,\u0022neu\u0022:0.775,\u0022pos\u0022:0.199},\u0022time_elapsed_date\u0022:\u00221 month ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-10-28\u0022,\u0022exception\u0022:null}"},{"id":1789,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022TULAV\u0022,\u0022stockName\u0022:\u0022Tulikivi Oyj A\u0022,\u0022stockExchange\u0022:\u0022HE\u0022,\u0022duration\u0022:\u0022-2 years\u0022,\u0022lastCloseVal\u0022:0.45,\u0022terms\u0022:[\u0022tulikivi\u0022,\u0022woodstove\u0022,\u0022kamin\u0022],\u0022srcData\u0022:{\u0022data\u0022:[{\u0022date\u0022:\u00222022-10-03 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00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:0.45,\u0022tulikivi\u0022:51,\u0022woodstove\u0022:52,\u0022kamin\u0022:61}],\u0022maxVal\u0022:0.7591,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u0022TULAV\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022Tulikivi Oyj A\u0022,\u0022Exchange\u0022:\u0022HE\u0022,\u0022CurrencyCode\u0022:\u0022EUR\u0022,\u0022CurrencyName\u0022:\u0022Euro\u0022,\u0022CurrencySymbol\u0022:\u0022\\u20ac\u0022,\u0022CountryName\u0022:\u0022Finland\u0022,\u0022CountryISO\u0022:\u0022FI\u0022,\u0022OpenFigi\u0022:null,\u0022ISIN\u0022:\u0022FI0009900583\u0022,\u0022LEI\u0022:null,\u0022PrimaryTicker\u0022:\u0022TULAV.HE\u0022,\u0022CIK\u0022:null,\u0022EmployerIdNumber\u0022:\u0022\u0022,\u0022FiscalYearEnd\u0022:\u0022December\u0022,\u0022IPODate\u0022:null,\u0022InternationalDomestic\u0022:\u0022International\u0022,\u0022Sector\u0022:\u0022Industrials\u0022,\u0022Industry\u0022:\u0022Building Products \u0026 Equipment\u0022,\u0022GicSector\u0022:\u0022Industrials\u0022,\u0022GicGroup\u0022:\u0022Capital Goods\u0022,\u0022GicIndustry\u0022:\u0022Building Products\u0022,\u0022GicSubIndustry\u0022:\u0022Building Products\u0022,\u0022Description\u0022:\u0022Tulikivi Corporation manufactures and sells fireplaces, sauna heaters, and interior decoration products in Finland, the United States, and rest of Europe. The company offers heat-retaining soapstone and ceramic fireplaces, soapstone and ceramic fireplaces with bake oven, bake ovens and cookstoves, and convection fireplaces. It also offers senso fireplace controllers, pellet systems, and color fireplaces. In addition, the company provides electric, wood-fired, and smoke sauna heaters; communal saunas; control units; and sauna stones. Further, it provides interior and paving stone products. Tulikivi Corporation was founded in 1893 and is headquartered in Juuka, Finland.\u0022,\u0022Address\u0022:\u0022Kuhnustantie 22, Juuka, Finland, 83900\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u0022Kuhnustantie 22\u0022,\u0022City\u0022:\u0022Juuka\u0022,\u0022Country\u0022:\u0022Finland\u0022,\u0022ZIP\u0022:\u002283900\u0022},\u0022Listings\u0022:[],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Heikki Vauhkonen BBA, LLB\u0022,\u0022Title\u0022:\u0022MD \u0026 Director\u0022,\u0022YearBorn\u0022:\u00221970\u0022},{\u0022Name\u0022:\u0022Mr. Jouko Toivanen D.Sc. (Tech.), M.Sc. (Eng.)\u0022,\u0022Title\u0022:\u0022Director of Finance \u0026 Administration\u0022,\u0022YearBorn\u0022:\u00221967\u0022},{\u0022Name\u0022:\u0022Mr. Markku Pr\\u00e4tt\\u00e4l\\u00e4\u0022,\u0022Title\u0022:\u0022Sales Director of Finland\u0022,\u0022YearBorn\u0022:\u00221967\u0022},{\u0022Name\u0022:\u0022Mr. Erkki Kuronen\u0022,\u0022Title\u0022:\u0022Managing Director of Nordic Talc Oy\u0022,\u0022YearBorn\u0022:\u00221970\u0022},{\u0022Name\u0022:\u0022Mr. Markku R\\u00f6nkk\\u00f6\u0022,\u0022Title\u0022:\u0022Secretary\u0022,\u0022YearBorn\u0022:\u00221951\u0022}],\u0022Phone\u0022:\u0022358 403 063 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Corporation financial reporting in 2024\u0022,\u0022content\u0022:\u0022TULIKIVI CORPORATION \\u00a0STOCK EXCHANGE RELEASE \\u00a020 NOVEMBER 2023 1:00 PM\\n\\nTulikivi Corporation financial reporting in 2024\\r\\nTulikivi Corporation will publish its 2023 Financial Statements Release on 1 March 2024. The Annual Report will be published on the company\\u2019s website during the week starting on 25 March 2024. The Annual General Meeting will be held on 25 April 2024. \\r\\nThe following reports will be published in 2024:\\r\\n- Interim Report for January\\u2013March 3 May 2024\\r\\n- Half Year Financial Report for January\\u2013June 16 August 2024\\r\\n- Interim Report for January\\u2013September 1 November 2024\\n\\nTULIKIVI CORPORATION\\r\\nBoard of Directors\\r\\nFurther information: Heikki Vauhkonen, Managing Director, tel. +358 (0)207 636 555\\r\\nDistribution: Nasdaq Helsinki\\r\\nKey media\\r\\nwww.tulikivi.com\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2023\\\/11\\\/20\\\/2783042\\\/0\\\/en\\\/Tulikivi-Corporation-financial-reporting-in-2024.html\u0022,\u0022symbols\u0022:[\u0022TULAV.HE\u0022],\u0022tags\u0022:[\u0022CALENDAR OF EVENTS\u0022,\u0022EUROPEAN REGULATORY NEWS\u0022,\u0022HELSINKI STOCK EXCHANGE:TULAV\u0022,\u0022TULIKIVI OYJ\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0,\u0022neg\u0022:0,\u0022neu\u0022:1,\u0022pos\u0022:0},\u0022time_elapsed_date\u0022:\u002210 months ago\u0022},{\u0022date\u0022:\u00222023-11-03T11:00:00+00:00\u0022,\u0022title\u0022:\u0022Tulikivi Corporation Interim report 1\\u20139\\\/2023: Strong operating profit in an uncertain market\u0022,\u0022content\u0022:\u0022TULIKIVI CORPORATION\\u00a0 INTERIM REPORT\\u00a0 3 NOV 2023 AT 1 PM\\n\\n- The Tulikivi Group\\u2019s net sales were EUR 9.1 million (EUR 9.9 million, 7\\u20139\\\/2022) in the third quarter and EUR 35.4 million (EUR 30.5 million, 1\\u20139\\\/2022) in the review period.\\r\\n- The Tulikivi Group\\u2019s operating profit was EUR 1.3 (1.2) million in the third quarter and EUR 4.9 (3.2) million in the review period.\\r\\n- The Tulikivi Group\\u2019s profit before taxes was EUR 1.1 million (1.1 million) in the third quarter and EUR 4.4 (2.6) million in the review period.\\r\\n- The equity ratio at the end of the review period was 47.5 per cent (36.0).\\r\\n- Order books stood at EUR 11.5 (15.8) million at the end of the period.\\r\\n- The Suomussalmi talc project has progressed well.\\r\\n- Future outlook: Net sales are expected to increase in 2023, and the comparable operating profit is expected to improve on 2022.\\n\\nKey financial ratios 1-9\\\/23 1-9\\\/22Change, % 1-12\\\/227-9\\\/237-9\\\/22Change, % Sales, MEUR35.430.516.2 % 44.39.19.9-8.6 %Operating profit\\\/loss, MEUR4.93.254.5 % 4.71.31.29.8 %Operating profit\\\/loss without impairment loss, MEUR4.93.254.5 % 4.71.31.29.8 %Profit before tax, MEUR4.42.669.2 % 4.11.11.17.1 %Total comprehensive income for the period, MEUR3.42.722.9 % 4.91.01.1-9.7 %Earnings per share, Euro0.060.05 0.080.020.02 Net cash flow from operating activities, MEUR2.73.5 6.30.91.3 Operating profit\\\/loss without impairment loss, %13.910.4 10.614.412.0 Equity ratio, %47.536.0 39.0 Net indebtness ratio, %62.191.8 72.7 Return on investments, %24.418.7 19.7\\n\\nComments by Heikki Vauhkonen, Managing Director:\\n\\nOperating profit continued to improve in the third quarter thanks to the distribution of sales and, especially, successful productivity measures. Net sales declined in Finland but exports were at the previous year\\u2019s level.\\n\\nIn the third quarter, the company\\u2019s order intake was EUR 7.3 (14.9) million. Demand was at a lower level than the previous year due to weaker consumer confidence and a challenging economic environment. In autumn 2022, demand for Tulikivi products was increased by the unusually sharp rise in energy prices and the uncertainties related to energy availability. Tulikivi\\u2019s order books remained at a good level, however, and amounted to EUR 11.5 (15.8) million at the end of the review period.\\n\\nIn Central Europe, sales and training activities were continued for the expansion of the distribution network of both Tulikivi and Kermansavi fireplaces. The focus of these activities was on the new Jero collection, which combines the technology of heat-retaining fireplaces with the compact size and modern design of a stove. In addition, preparations were underway in production to start deliveries of the Jero collection in the fourth quarter. Central European consumers prefer products in the stove-size range, and the new collection will enable Tulikivi to reach new customer groups.\\n\\nThe feasibility study for the Suomussalmi talc project progressed positively in the review period with Metso Corporation\\u2019s enrichment and filtration tests and the preliminary design project of the enrichment plant. Based on a simulation of the production scale process, good-quality enriched talc can be produced from talc ore from Haaponen with good yields.\\n\\nProduct trials of finely ground talc products were launched for plastics and paint applications in the autumn. In addition, a study was launched on the potential for the further use of by-products. The additional studies will slightly delay the completion of the EIA report but may have a positive impact on the overall timetable and potential of the project.\\n\\nTULIKIVI CORPORATION\\n\\nBoard of Directors\\n\\nDistribution: Nasdaq Helsinki\\r\\nKey media\\r\\nwww.tulikivi.com\\n\\nFurther information: Heikki Vauhkonen, Managing Director, tel. +358 (0)207 636\\u00a0555\\n\\nAttachment\\n\\nInterim Report 1-9 2023\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2023\\\/11\\\/03\\\/2773085\\\/0\\\/en\\\/Tulikivi-Corporation-Interim-report-1-9-2023-Strong-operating-profit-in-an-uncertain-market.html\u0022,\u0022symbols\u0022:[\u0022TULAV.HE\u0022],\u0022tags\u0022:[\u0022EARNINGS RELEASES AND OPERATING RESULTS\u0022,\u0022EUROPEAN REGULATORY NEWS\u0022,\u0022HELSINKI STOCK EXCHANGE:TULAV\u0022,\u0022TULIKIVI OYJ\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.99,\u0022neg\u0022:0.027,\u0022neu\u0022:0.866,\u0022pos\u0022:0.107},\u0022time_elapsed_date\u0022:\u002210 months ago\u0022},{\u0022date\u0022:\u00222023-08-23T10:00:00+00:00\u0022,\u0022title\u0022:\u0022Tulikivi Corporation: Notification in accordance with chapter 9, section 10, of the Securities Markets Act\u0022,\u0022content\u0022:\u0022Tulikivi Corporation \\u00a0Stock exchange release \\u00a023 August 2023 at 13.00 EET\\n\\nOn 22 August 2023, Tulikivi Corporation received a flagging announcement pursuant to chapter 9, section 5, of the Securities Markets Act from the Elo Mutual Pension Insurance Company, according to which the holding of the Elo Mutual Pension Insurance Company of shares in Tulikivi Corporation has fallen below the threshold of 5 per cent.\\n\\nAs a result of transactions made on 22 August 2023, the holding of Elo Mutual Pension Insurance Company decreased to 2,990,000 shares, i.e. 4.99 per cent of the shares of Tulikivi Corporation and 2.32 per cent of the voting rights conferred by the shares of Tulikivi Corporation. According to the previous flagging announcement on 21 October 2013, the holding of Elo Mutual Pension Insurance Company was 4,545,454 shares, i.e. 7.59 per cent of the shares of Tulikivi Corporation and 3.52 per cent of the voting rights conferred by the shares of Tulikivi Corporation.\\n\\nTulikivi Corporation\\n\\nHeikki Vauhkonen, Managing Director, +358 (0)207 636\\u00a0555\\n\\nDistribution: NASDAQ OMX Helsinki, key media\\n\\nwww.tulikivi.com\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2023\\\/08\\\/23\\\/2730220\\\/0\\\/en\\\/Tulikivi-Corporation-Notification-in-accordance-with-chapter-9-section-10-of-the-Securities-Markets-Act.html\u0022,\u0022symbols\u0022:[\u0022TULAV.HE\u0022],\u0022tags\u0022:[\u0022EUROPEAN REGULATORY NEWS\u0022,\u0022HELSINKI STOCK EXCHANGE:TULAV\u0022,\u0022MAJOR SHAREHOLDER ANNOUNCEMENTS\u0022,\u0022TULIKIVI OYJ\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.902,\u0022neg\u0022:0.014,\u0022neu\u0022:0.89,\u0022pos\u0022:0.097},\u0022time_elapsed_date\u0022:\u00221 year ago\u0022},{\u0022date\u0022:\u00222023-08-18T10:00:00+00:00\u0022,\u0022title\u0022:\u0022Tulikivi Corporation Half year financial report 1\\u20136\\\/2023: Profitable export growth continued\u0022,\u0022content\u0022:\u0022TULIKIVI CORPORATION\\u00a0 HALF YEAR FINANCIAL REPORT\\u00a0 18AUGUST 2023 AT 1\\u00a0PM\\n\\n- The Tulikivi Group\\u2019s net sales were EUR 13.3 million (Q2\\\/2022: EUR 12.2 million) in the second quarter and EUR 26.4 million (H1\\\/2022: EUR 20.6 million) in the review period.\\r\\n- The Tulikivi Group\\u2019s operating profit was EUR 2.3 (1.7) million in the second quarter and EUR 3.6 (2.0) million in the review period.\\r\\n- The Tulikivi Group\\u2019s profit before taxes was EUR 2.2 (1.4) million in the second quarter and EUR 3.3 (1.5) million in the review period.\\r\\n- The equity ratio at the end of the review period was 44.6 per cent (33.6).\\r\\n- Order books stood at EUR 13.9 (11.3) million at the end of the period.\\r\\n- The Suomussalmi talc project has progressed well.\\r\\n- Future outlook: Net sales are expected to increase in 2023, and the comparable operating profit is expected to improve on 2022.\\n\\nKey financial ratios 1-6\\\/23 1-6\\\/22Change, % 1-12\\\/224-6\\\/234-6\\\/22Change, % Sales, MEUR 26.420.628.1 % 44.313.312.29.5 %Operating profit\\\/loss, MEUR3.62.081.3 % 4.72.31.734.8 %Operating profit\\\/loss without impairment loss, MEUR3.62.081.3 % 4.72.31.734.8 %Profit before tax, MEUR3.31.5111.9 % 4.12.21.462.9 %Total comprehensive income for the period, MEUR2.41.743.4 % 4.91.61.65.6 %Earnings per share, Euro0.040.03 0.080.030.03 Net cash flow from operating activities, MEUR1.82.2 6.32.51.6 Operating profit\\\/loss without impairment loss, %13.79.7 10.617.514.2 Equity ratio, % 44.633.6 39.0 Net indebtness ratio, %63.7104.9 72.7 Return on investments, %27.217.7 19.7\\n\\nComments by Heikki Vauhkonen, Managing Director:\\n\\nNet sales continued to grow in the second quarter, thanks to exports to Central Europe. The high heating energy prices in the heating season and the uncertainty related to the availability of energy and household security of supply increased consumers\\u2019 interest in fireplaces, which affected deliveries during the review period.\\n\\nIn the second quarter, the company\\u2019s order intake was EUR 11.3 (14.3) million, with demand boosted by the new and compact Jero fireplace collection. Domestic demand was lower than before, due to a challenging economic environment. Tulikivi\\u2019s order books remained at a good level and amounted to EUR 13.9 (11.3) million at the end of the review period.\\n\\nProfitability improved, thanks to higher net sales, sales mix and successful productivity improvement measures. The company\\u2019s profitability is also supported by the fact that its operations are, to a substantial degree, based on the utilisation of its own soapstone reserves in Finland.\\n\\nIn Central Europe, sales and training activities were continued for the expansion of the distribution network of both Tulikivi and Kermansavi fireplaces. The focus of these measures was the new Jero collection. The products combine the technology of heat-retaining fireplaces with the compact size and modern design of a stove. The affordable and easy-to-install Jero collection was very well received at the international World of Fireplaces fair in Leipzig in April. In Central Europe, consumers prefer products in the stove-size range, and the collection will enable Tulikivi to reach new customer groups.\\n\\nThe feasibility study for the Suomussalmi talc project progressed positively during the first half of the year, with Metso Corporation\\u2019s enrichment and filtration tests and the preliminary design project of the enrichment plant. Based on a simulation of the production scale process, good quality enriched talc can be produced from talc ore from Haaponen with good yields. The enriched talc from the enrichment trials was used to produce jet-milled talc products. The enriched talc was milled to three different grain sizes, with average sizes ranging from about 2.5 microns to 5 microns. As expected, the whiteness of the milled product increased with fineness and the talc retained its platy quality. Platyness is a desirable property, especially for talc applications that are growing.\\n\\nThe studies required for the Environmental Impact Assessment report (EIA report) were completed during the summer. The EIA report will be submitted to the Kainuu ELY Centre, which is the contact authority, in the autumn of this year. The feasibility study is expected to be completed in its entirety by the end of 2023.\\n\\nTULIKIVI CORPORATION\\n\\nBoard of Directors\\n\\nDistribution: Nasdaq Helsinki\\r\\nKey media\\r\\nwww.tulikivi.com\\n\\nFurther information: Heikki Vauhkonen, Managing Director, tel. +358 (0)207 636\\u00a0555\\n\\nAttachment\\n\\nHalf year financial report 1-6 2023\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2023\\\/08\\\/18\\\/2727825\\\/0\\\/en\\\/Tulikivi-Corporation-Half-year-financial-report-1-6-2023-Profitable-export-growth-continued.html\u0022,\u0022symbols\u0022:[\u0022TULAV.HE\u0022],\u0022tags\u0022:[\u0022EARNINGS RELEASES AND OPERATING RESULTS\u0022,\u0022EUROPEAN REGULATORY NEWS\u0022,\u0022HELSINKI STOCK EXCHANGE:TULAV\u0022,\u0022TULIKIVI OYJ\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.997,\u0022neg\u0022:0.013,\u0022neu\u0022:0.859,\u0022pos\u0022:0.128},\u0022time_elapsed_date\u0022:\u00221 year ago\u0022},{\u0022date\u0022:\u00222023-06-28T07:00:00+00:00\u0022,\u0022title\u0022:\u0022Tulikivi Corporation - Managers\u0027 Transactions: Jouko Toivanen\u0022,\u0022content\u0022:\u0022TULIKIVI CORPORATION\\u00a0 STOCK EXCHANGE RELEASE\\u00a0 28 JUNE AT 10:00 AM\\n\\nTulikivi Corporation has received the following notification on 27 June 2023.\\n\\nPerson subject to the notification requirement\\n\\nName: Jouko Toivanen\\n\\nPosition: Chief Financial Officer\\n\\nIssuer: Tulikivi Oyj\\n\\nLEI: 743700GSL41H2DXZY963\\n\\nNotification type: INITIAL NOTIFICATION\\n\\nReference number: 34076\\\/4\\\/4\\n\\n____________________________________________\\n\\nTransaction date: 2023-06-27\\n\\nVenue: NASDAQ HELSINKI LTD (XHEL)\\n\\nInstrument type: SHARE\\n\\nISIN: FI0009900583\\n\\nNature of the transaction: ACQUISITION\\n\\nTransaction details\\n\\n(1): Volume: 200 Unit price: 0.470 EUR\\n\\n(2): Volume: 1365 Unit price: 0.479 EUR\\n\\n(3): Volume: 133 Unit price: 0.480 EUR\\n\\n(4): Volume: 1199 Unit price: 0.476 EUR\\n\\n(5): Volume: 1 Unit price: 0.480 EUR\\n\\n(6): Volume: 2102 Unit price: 0.484 EUR\\n\\n(7): Volume: 1408 Unit price: 0.484 EUR\\n\\n(8): Volume: 3531 Unit price: 0.484 EUR\\n\\n(9): Volume: 61 Unit price: 0.484 EUR\\n\\n(10): Volume: 1408 Unit price: 0.4835 EUR\\n\\n(11): Volume: 4235 Unit price: 0.4835 EUR\\n\\n(12): Volume: 1333 Unit price: 0.4840 EUR\\n\\n(13): Volume: 1024 Unit price: 0.4875 EUR\\n\\n(14): Volume: 616 Unit price: 0.488 EUR\\n\\n(15): Volume: 1408 Unit price: 0.4888 EUR\\n\\n(16): Volume: 2036 Unit price: 0.488 EUR\\n\\n(17): Volume: 74 Unit price: 0.489 EUR\\n\\n(18): Volume: 9866 Unit price: 0.489 EUR\\n\\nAggregated transactions\\r\\n(18): Volume: 32000 Volume weighted average price: 0.4855 EUR\\n\\nFurther information:\\r\\n Heikki Vauhkonen, Managing Director, Tulikivi Corporation\\r\\n Tel. +358\\u00a0(0)207\\u00a0636 555, heikki.vauhkonen@tulikivi.fi\\n\\nDistribution:\\r\\n Nasdaq Helsinki\\n\\nKey media\\n\\nwww.tulikivi.com\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2023\\\/06\\\/28\\\/2695906\\\/0\\\/en\\\/Tulikivi-Corporation-Managers-Transactions-Jouko-Toivanen.html\u0022,\u0022symbols\u0022:[\u0022TULAV.HE\u0022],\u0022tags\u0022:[\u0022EUROPEAN REGULATORY NEWS\u0022,\u0022HELSINKI STOCK EXCHANGE:TULAV\u0022,\u0022INSIDER\u0027S BUY\\\/SELL\u0022,\u0022TULIKIVI OYJ\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.5,\u0022neg\u0022:0,\u0022neu\u0022:0.981,\u0022pos\u0022:0.019},\u0022time_elapsed_date\u0022:\u00221 year ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:null,\u0022exception\u0022:null}"},{"id":1792,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022BETS-B\u0022,\u0022stockName\u0022:\u0022Betsson AB\u0022,\u0022stockExchange\u0022:\u0022ST\u0022,\u0022duration\u0022:\u0022-5 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00:00:00\u0022,\u0022week\u0022:\u00222024-40\u0022,\u0022value\u0022:126,\u0022Betsson\u0022:42}],\u0022maxVal\u0022:133.2011,\u0022maxTrends\u0022:100},\u0022fundamentals\u0022:{\u0022General\u0022:{\u0022Code\u0022:\u0022BETS-B\u0022,\u0022Type\u0022:\u0022Common Stock\u0022,\u0022Name\u0022:\u0022Betsson AB\u0022,\u0022Exchange\u0022:\u0022ST\u0022,\u0022CurrencyCode\u0022:\u0022SEK\u0022,\u0022CurrencyName\u0022:\u0022Swedish krone\u0022,\u0022CurrencySymbol\u0022:\u0022kr\u0022,\u0022CountryName\u0022:\u0022Sweden\u0022,\u0022CountryISO\u0022:\u0022SE\u0022,\u0022OpenFigi\u0022:null,\u0022ISIN\u0022:\u0022SE0021626777\u0022,\u0022LEI\u0022:null,\u0022PrimaryTicker\u0022:null,\u0022CIK\u0022:null,\u0022EmployerIdNumber\u0022:null,\u0022FiscalYearEnd\u0022:\u0022December\u0022,\u0022IPODate\u0022:null,\u0022InternationalDomestic\u0022:null,\u0022Sector\u0022:\u0022Consumer Cyclical\u0022,\u0022Industry\u0022:\u0022Gambling\u0022,\u0022GicSector\u0022:\u0022Consumer Discretionary\u0022,\u0022GicGroup\u0022:\u0022Consumer Services\u0022,\u0022GicIndustry\u0022:\u0022Hotels, Restaurants \u0026 Leisure\u0022,\u0022GicSubIndustry\u0022:\u0022Casinos \u0026 Gaming\u0022,\u0022Description\u0022:\u0022Betsson AB (publ), through its subsidiaries, invests in and manages online gaming business primarily in the Nordic countries, Latin America, Western Europe, Central and Eastern Europe, Central Asia, and internationally. The company offers casino games, including slots, table games, live casino, and other games; sportsbook that offers bets on a various sports, leagues, and markets; and poker, bingo, scratch cards, and table and dice games. It markets its products under the Betsson, Betsafe, Nordicbet, Casinoeuro, and other brands. The company was founded in 1963 and is based in Stockholm, Sweden.\u0022,\u0022Address\u0022:\u0022Regeringsgatan 28, Stockholm, Sweden, 111 53\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u0022Regeringsgatan 28\u0022,\u0022City\u0022:\u0022Stockholm\u0022,\u0022Country\u0022:\u0022Sweden\u0022,\u0022ZIP\u0022:\u0022111 53\u0022},\u0022Listings\u0022:[],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Pontus Lindwall\u0022,\u0022Title\u0022:\u0022CEO, President \u0026 Executive Director\u0022,\u0022YearBorn\u0022:\u00221965\u0022},{\u0022Name\u0022:\u0022Mr. Martin Ohman\u0022,\u0022Title\u0022:\u0022Chief Financial Officer\u0022,\u0022YearBorn\u0022:\u00221976\u0022},{\u0022Name\u0022:\u0022Jonas Rodny\u0022,\u0022Title\u0022:\u0022Interim Head of Investor Relation\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Ms. Triin Toomemets-Krasnitski\u0022,\u0022Title\u0022:\u0022Vice President of Legal\u0022,\u0022YearBorn\u0022:\u00221977\u0022},{\u0022Name\u0022:\u0022Mr. Roland Glasfors\u0022,\u0022Title\u0022:\u0022Vice President of Communications \u0026 Investor Relations\u0022,\u0022YearBorn\u0022:\u00221975\u0022},{\u0022Name\u0022:\u0022Ms. Lena Nordin\u0022,\u0022Title\u0022:\u0022Chief Human Resources Officer\u0022,\u0022YearBorn\u0022:\u00221964\u0022},{\u0022Name\u0022:\u0022Johan Fagerlund Sjoberg\u0022,\u0022Title\u0022:\u0022Legal Counsel\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. Jesper Svensson\u0022,\u0022Title\u0022:\u0022CEO of Betsson\u0027s operational Subsidiaries\u0022,\u0022YearBorn\u0022:\u0022NA\u0022},{\u0022Name\u0022:\u0022Mr. Johan Berg\u0022,\u0022Title\u0022:\u0022Group Business Controller\u0022,\u0022YearBorn\u0022:\u0022NA\u0022}],\u0022Phone\u0022:\u002246 8 50 64 03 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Launches \\\u0022Bally\u0027s For RVA\\\u0022 Campaign To Create Awareness Of Its Proposed $650 Million Casino And Resort For The RVA Community\u0022,\u0022content\u0022:\u0022BallysRichmond.com Website Features Video Presentation Highlighting Bally\u0027s Incomparable Proposal and Commitment to the RVA Community\\n\\nTargeted Social Media Campaign Adopts #BallysForRVA\\n\\nPROVIDENCE, R.I., March 9, 2021 \\\/PRNewswire\\\/ -- Bally\u0027s Corporation (NYSE: BALY), a leading U.S. omnichannel provider of land-based gaming and interactive entertainment, today launched its \\\u0022Bally\u0027s For RVA\\\u0022 campaign to create awareness of the \\\u0022Bally\u0027s Richmond Casino Resort\\\u0022 \\u2014 a $650 million world class destination that will generate significant economic stimulus and create substantial employment opportunities for the residents and small businesses of Richmond, Virginia. The campaign is expected to run throughout the City\u0027s selection process, which will culminate with a voter referendum scheduled to occur on November 2, 2021.\\n\\nCLICK HERE TO VIEW A BALLY\u0027S RICHMOND VIDEO PRESENTATION\\n\\nThe Bally\u0027sRichmond campaign, which adopted \\\u0022Bally\u0027s For RVA\\\u0022 as its slogan and #BallysForRVA, seeks to inform Richmond\u0027s constituents of the project\u0027s unique and incomparable components that will support RVA\u0027s growth and development, including:\\n\\na $100 million upfront payment to the City of Richmond; 4,300 construction jobs and more than 2,000 permanent jobs upon completing the project; 3.7 million visitors expected annually; $5.3 billion in economic value generated over a 10-year period; and $30 million in annual economic activity and spending, plus an additional 289 jobs created through Bally\u0027s innovative \\\u0022Richmond Rewards\\\u0022 program.\\n\\nGeorge Papanier, President and Chief Executive Officer of Bally\u0027s Corp., said, \\\u0022We have deep conviction in our commitment to Richmond, which is why we chose the slogan \u0027Bally\u0027s For RVA\u0027 to guide our campaign. Our community-first policy is a fundamental element of who we are as a company. Within each locality where we operate, we build strong, lasting partnerships with residents and businesses.\\n\\nStory continues\\n\\nAdditionally, through Bally\u0027s partnerships with the Lanier Family, Warren Thompson of Thompson Hospitality, and other minority supplier organizations such as the Carolinas-Virginia Minority Supplier Development Council and the Virginia Asian Chamber of Commerce, Bally\u0027s will:\\n\\nPartner with historically Black colleges and universities to provide education and training opportunities, internship programs and prospects for long-term employment; Promote careers within the hospitality industry, providing a rotational management training program, job-shadowing workshops and opportunities to local students and individuals; Sponsor its minority investor partners\u0027 work and local charitable organizations; Leverage its 15+ million player database and the Bally\u0027sRichmond state-of-the-art visitor center to drive traffic to the greater Richmond area, transforming it into a tourism hub; and Work with the City and local organizations to ensure residents and business owners have a voice in the project and the future opportunities that it will create.\\n\\nWillie Lanier, Sr., NFL Hall of Famer, said, \\\u0022It is our hope that, through this campaign, Richmonders will gain a greater understanding of how the Bally\u0027s Richmond Casino Resort will contribute significantly to the greater Richmond community.\\\u0022\\n\\nBally\u0027s encourages residents, business owners and leaders within the City of Richmond to visit BallysRichmond.com for more information and to follow the campaign on Twitter, LinkedIn, Facebook, Instagram and YouTube.\\n\\nMarc Crisafulli, Executive Vice President Strategy and Operations of Bally\u0027s Corp., said, \\\u0022We are in it to win it. We hope that the residents and small business owners of the City of Richmond appreciate how much we want to partner with them on this exciting adventure. We want to be woven into the fabric of this great community. We are for RVA.\\\u0022\\n\\nThe media campaign will also focus on and promote additional attractive qualities of Bally\u0027s proposal, including a:\\n\\nStrategically-situated site located at the intersection of the Powhite and Chippenham Parkways on the western border of the City; 4-star, 250-key hotel that will increase the desirability for MICE (meeting, incentive, convention, exhibition) activities in Richmond; 117,500 square foot casino featuring an elevated design consisting of the most current gaming components, including 2,500 slot machines, 90 table games, 30 poker tables, a High Limit Gaming area and a VIP lounge; 45,000 square foot, multi-use event center with 3,000 high-quality seats, a permanent stage and a state-of-the-art sound system that will attract musical acts of all genres to Richmond and will also be available for art exhibitions, sports events and other performances; Indoor\\\/outdoor pool; 16,000 square foot multi-dimensional spa, salon and health club; 13 distinct food and beverage options featuring locally sourced vendors; 3,000-spot environmentally responsible parking facility that will accommodate the 3.7 million visitors expected annually and provide preferred parking for green vehicles and Visitor center offering a full range of services that will help guests access local Richmond sites, museums and other attractions throughout the City.\\n\\nAbout Bally\u0027s Corporation\\n\\nBally\u0027s Corporation currently owns and manages 11 casinos across seven states, a horse racetrack and 13 authorized OTB licenses in Colorado. With more than 5,900 employees, the Company\u0027s operations include 13,260 slot machines, 459 game tables and 2,941 hotel rooms. Following the completion of pending acquisitions, which include Tropicana Evansville (Evansville, IN), Jumer\u0027s Casino \u0026 Hotel (Rock Island, IL), and MontBleu Resort Casino \u0026 Spa (Lake Tahoe, NV), as well as the construction of a land-based casino near the Nittany Mall in State College, PA, Bally\u0027s will own and manage 15 casinos across 11 states. Bally\u0027s also maintains a multi-year market access partnership with Elite Casino Resorts, through which it provides mobile sports betting in Iowa. Its shares trade on the New York Stock Exchange under the ticker symbol \\\u0022BALY\\\u0022.\\n\\nCautionary Note Regarding Forward-Looking Statements\\n\\nThis document includes forward-looking statements within the meaning of the securities laws. Forward-looking statements are statements as to matters that are not historical facts, and include statements about Bally\u0027s plans, objectives, expectations and intentions.\\n\\nForward-looking statements are not guarantees and are subject to risks and uncertainties. Forward-looking statements are based on Bally\u0027s current expectations and assumptions. Although Bally\u0027s believes that its expectations and assumptions are reasonable at this time, they should not be regarded as representations that Bally\u0027s expectations will be achieved. Actual results may vary materially. Forward-looking statements speak only as of the time of this document and Bally\u0027s does not undertake to update or revise them as more information becomes available, except as required by law.\\n\\nImportant factors beyond those that apply to most businesses, some of which are beyond Bally\u0027s control, that could cause actual results to differ materially from our expectations and assumptions include, without limitation:\\n\\nuncertainties surrounding the COVID-19 pandemic, including limitations on Bally\u0027s operations, increased costs, changes in customer attitudes, impact on Bally\u0027s employees and the ongoing impact of COVID-19 on general economic conditions; unexpected costs, difficulties integrating and other events impacting Bally\u0027s recently completed and proposed acquisitions and Bally\u0027s ability to realize anticipated benefits; risks associated with Bally\u0027s rapid growth, including those affecting customer and employee retention, integration and controls; risks associated with the impact of the digitalization of gaming on Bally\u0027s casino operations, Bally\u0027s expansion into iGaming and sports betting and the highly competitive and rapidly changing aspects of Bally\u0027s new interactive businesses generally; the very substantial regulatory restrictions applicable to Bally\u0027s, including costs of compliance; restrictions and limitations in agreements governing Bally\u0027s debt could significantly affect Bally\u0027s ability to operate our business and our liquidity; and other risks identified in Part I. Item 1A. \\\u0022Risk Factors\\\u0022 of Bally\u0027s Annual Report on Form 10\\u2013K for the fiscal year ended December 31, 2019 as filed with SEC on March 13, 2020 and other filings with the SEC.\\n\\nThe foregoing list of important factors is not exclusive and does not include matters like changes in general economic conditions that affect substantially all gaming businesses.\\n\\nYou should not to place undue reliance on Bally\u0027s forward-looking statements.\\n\\nInvestor Contact\\n\\nSteve Capp\\r\\nExecutive Vice President and Chief Financial Officer\\r\\n401-475-8564\\r\\nInvestorRelations@twinriver.com\\n\\nMedia Contact\\n\\nJulia Brewster\\r\\nCommonwealth PR\\r\\n804-432-7733\\r\\njulia@commonwealth-pr.com\\n\\nRichard Goldman \\\/ David Gill\\r\\nKekst CNC\\r\\n646-847-6102 \\\/ 917-842-5384\\r\\nBallysMediaInquiries@kekstcnc.com (PRNewsfoto\\\/Twin River Worldwide Holdings, Inc.) Cision\\n\\nView original content to download multimedia:http:\\\/\\\/www.prnewswire.com\\\/news-releases\\\/ballys-launches-ballys-for-rva-campaign-to-create-awareness-of-its-proposed-650-million-casino-and-resort-for-the-rva-community-301243277.html\\n\\nSOURCE Bally\u0027s Corporation\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/ballys-launches-ballys-rva-campaign-121400028.html\u0022,\u0022symbols\u0022:[\u0022BALY.US\u0022,\u0022BETS-B.ST\u0022],\u0022tags\u0022:[\u0022BALLY\u0026#39;S CORPORATION\u0022,\u0022RICHMOND\u0022,\u0022RVA\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.999,\u0022neg\u0022:0.016,\u0022neu\u0022:0.875,\u0022pos\u0022:0.109},\u0022time_elapsed_date\u0022:\u00223 years ago\u0022},{\u0022date\u0022:\u00222020-05-19T09:06:19+00:00\u0022,\u0022title\u0022:\u0022How Does Betsson\u0027s (STO:BETS B) P\\\/E Compare To Its Industry, After Its Big Share Price Gain?\u0022,\u0022content\u0022:\u0022Betsson (STO:BETS B) shares have had a really impressive month, gaining 33%, after some slippage. Longer term shareholders are no doubt thankful for the recovery in the share price, since it\u0027s pretty much flat for the year, even after the recent pop.\\n\\nAll else being equal, a sharp share price increase should make a stock less attractive to potential investors. In the long term, share prices tend to follow earnings per share, but in the short term prices bounce around in response to short term factors (which are not always obvious). The implication here is that deep value investors might steer clear when expectations of a company are too high. Perhaps the simplest way to get a read on investors\u0027 expectations of a business is to look at its Price to Earnings Ratio (PE Ratio). A high P\\\/E ratio means that investors have a high expectation about future growth, while a low P\\\/E ratio means they have low expectations about future growth.\\n\\nSee our latest analysis for Betsson\\n\\nHow Does Betsson\u0027s P\\\/E Ratio Compare To Its Peers?\\n\\nBetsson\u0027s P\\\/E of 10.50 indicates relatively low sentiment towards the stock. If you look at the image below, you can see Betsson has a lower P\\\/E than the average (13.7) in the hospitality industry classification. OM:BETS B Price Estimation Relative to Market May 19th 2020\\n\\nThis suggests that market participants think Betsson will underperform other companies in its industry. Many investors like to buy stocks when the market is pessimistic about their prospects. It is arguably worth checking if insiders are buying shares, because that might imply they believe the stock is undervalued.\\n\\nHow Growth Rates Impact P\\\/E Ratios\\n\\nWhen earnings fall, the \u0027E\u0027 decreases, over time. That means unless the share price falls, the P\\\/E will increase in a few years. A higher P\\\/E should indicate the stock is expensive relative to others -- and that may encourage shareholders to sell.\\n\\nBetsson saw earnings per share decrease by 29% last year. And over the longer term (5 years) earnings per share have decreased 1.3% annually. This growth rate might warrant a below average P\\\/E ratio.\\n\\nStory continues\\n\\nDon\u0027t Forget: The P\\\/E Does Not Account For Debt or Bank Deposits\\n\\nOne drawback of using a P\\\/E ratio is that it considers market capitalization, but not the balance sheet. So it won\u0027t reflect the advantage of cash, or disadvantage of debt. Theoretically, a business can improve its earnings (and produce a lower P\\\/E in the future) by investing in growth. That means taking on debt (or spending its cash).\\n\\nWhile growth expenditure doesn\u0027t always pay off, the point is that it is a good option to have; but one that the P\\\/E ratio ignores.\\n\\nIs Debt Impacting Betsson\u0027s P\\\/E?\\n\\nNet debt totals just 2.0% of Betsson\u0027s market cap. It would probably trade on a higher P\\\/E ratio if it had a lot of cash, but I doubt it is having a big impact.\\n\\nThe Bottom Line On Betsson\u0027s P\\\/E Ratio\\n\\nBetsson trades on a P\\\/E ratio of 10.5, which is below the SE market average of 17.0. Since it only carries a modest debt load, it\u0027s likely the low expectations implied by the P\\\/E ratio arise from the lack of recent earnings growth. What we know for sure is that investors have become more excited about Betsson recently, since they have pushed its P\\\/E ratio from 7.9 to 10.5 over the last month. If you like to buy stocks that have recently impressed the market, then this one might be a candidate; but if you prefer to invest when there is \u0027blood in the streets\u0027, then you may feel the opportunity has passed.\\n\\nInvestors have an opportunity when market expectations about a stock are wrong. As value investor Benjamin Graham famously said, \u0027In the short run, the market is a voting machine but in the long run, it is a weighing machine. So this freevisualization of the analyst consensus on future earnings could help you make the right decision about whether to buy, sell, or hold.\\n\\nYou might be able to find a better buy than Betsson. If you want a selection of possible winners, check out this freelist of interesting companies that trade on a P\\\/E below 20 (but have proven they can grow earnings).\\n\\nLove or hate this article? Concerned about the content? Get in touch with us directly. Alternatively, email editorial-team@simplywallst.com.\\r\\n\\r\\nThis article by Simply Wall St is general in nature. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. We aim to bring you long-term focused analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Simply Wall St has no position in any stocks mentioned. Thank you for reading.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/does-betssons-sto-bets-b-090619483.html?.tsrc=rss\u0022,\u0022symbols\u0022:[\u0022BETS-B.ST\u0022,\u0022BSTBF.US\u0022],\u0022tags\u0022:[\u0022BETSSON\u0022,\u0022EARNINGS PER SHARE\u0022,\u0022PRICE TO EARNINGS RATIO\u0022,\u0022SHARE PRICE\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.997,\u0022neg\u0022:0.074,\u0022neu\u0022:0.769,\u0022pos\u0022:0.157},\u0022time_elapsed_date\u0022:\u00224 years ago\u0022},{\u0022date\u0022:\u00222020-05-06T13:06:29+00:00\u0022,\u0022title\u0022:\u0022Investors Who Bought Betsson (STO:BETS B) Shares Five Years Ago Are Now Down 53%\u0022,\u0022content\u0022:\u0022This month, we saw the Betsson AB (STO:BETS B) up an impressive 39%. But that is little comfort to those holding over the last half decade, sitting on a big loss. The share price has failed to impress anyone , down a sizable 53% during that time. So we\u0027re not so sure if the recent bounce should be celebrated. However, in the best case scenario (far from fait accompli), this improved performance might be sustained.\\n\\nCheck out our latest analysis for Betsson\\n\\nThere is no denying that markets are sometimes efficient, but prices do not always reflect underlying business performance. One way to examine how market sentiment has changed over time is to look at the interaction between a company\u0027s share price and its earnings per share (EPS).\\n\\nLooking back five years, both Betsson\u0027s share price and EPS declined; the latter at a rate of 1.3% per year. Readers should note that the share price has fallen faster than the EPS, at a rate of 14% per year, over the period. This implies that the market was previously too optimistic about the stock. The less favorable sentiment is reflected in its current P\\\/E ratio of 9.48.\\n\\nYou can see below how EPS has changed over time (discover the exact values by clicking on the image). OM:BETS B Past and Future Earnings May 6th 2020\\n\\nIt\u0027s probably worth noting we\u0027ve seen significant insider buying in the last quarter, which we consider a positive. That said, we think earnings and revenue growth trends are even more important factors to consider. Before buying or selling a stock, we always recommend a close examination of historic growth trends, available here..\\n\\nA Different Perspective\\n\\nWhile the broader market lost about 2.0% in the twelve months, Betsson shareholders did even worse, losing 18% (even including dividends) . However, it could simply be that the share price has been impacted by broader market jitters. It might be worth keeping an eye on the fundamentals, in case there\u0027s a good opportunity. Regrettably, last year\u0027s performance caps off a bad run, with the shareholders facing a total loss of 14% per year over five years. Generally speaking long term share price weakness can be a bad sign, though contrarian investors might want to research the stock in hope of a turnaround. While it is well worth considering the different impacts that market conditions can have on the share price, there are other factors that are even more important. Even so, be aware that Betsson is showing 2 warning signs in our investment analysis, you should know about...\\n\\nStory continues\\n\\nIf you like to buy stocks alongside management, then you might just love this freelist of companies. (Hint: insiders have been buying them).\\n\\nPlease note, the market returns quoted in this article reflect the market weighted average returns of stocks that currently trade on SE exchanges.\\n\\nIf you spot an error that warrants correction, please contact the editor at editorial-team@simplywallst.com. This article by Simply Wall St is general in nature. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. Simply Wall St has no position in the stocks mentioned.\\r\\n\\r\\nWe aim to bring you long-term focused research analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Thank you for reading.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/investors-bought-betsson-sto-bets-130629098.html?.tsrc=rss\u0022,\u0022symbols\u0022:[\u0022BETS-B.ST\u0022],\u0022tags\u0022:[\u0022BETSSON\u0022,\u0022EARNINGS PER SHARE\u0022,\u0022MARKET SENTIMENT\u0022,\u0022SHARE PRICE\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.995,\u0022neg\u0022:0.077,\u0022neu\u0022:0.754,\u0022pos\u0022:0.169},\u0022time_elapsed_date\u0022:\u00224 years ago\u0022},{\u0022date\u0022:\u00222020-04-14T04:24:54+00:00\u0022,\u0022title\u0022:\u0022Should You Buy Betsson AB (STO:BETS B) For Its Dividend?\u0022,\u0022content\u0022:\u0022Could Betsson AB (STO:BETS B) be an attractive dividend share to own for the long haul? Investors are often drawn to strong companies with the idea of reinvesting the dividends. Unfortunately, it\u0027s common for investors to be enticed in by the seemingly attractive yield, and lose money when the company has to cut its dividend payments.\\n\\nIn this case, Betsson likely looks attractive to investors, given its 6.4% dividend yield and a payment history of over ten years. We\u0027d guess that plenty of investors have purchased it for the income. The company also bought back stock equivalent to around 8.9% of market capitalisation this year. Some simple analysis can reduce the risk of holding Betsson for its dividend, and we\u0027ll focus on the most important aspects below.\\n\\nClick the interactive chart for our full dividend analysis OM:BETS B Historical Dividend Yield April 14th 2020\\n\\nPayout ratios\\n\\nDividends are typically paid from company earnings. If a company pays more in dividends than it earned, then the dividend might become unsustainable - hardly an ideal situation. As a result, we should always investigate whether a company can afford its dividend, measured as a percentage of a company\u0027s net income after tax. Betsson paid out 51% of its profit as dividends, over the trailing twelve month period. This is a fairly normal payout ratio among most businesses. It allows a higher dividend to be paid to shareholders, but does limit the capital retained in the business - which could be good or bad.\\n\\nWe update our data on Betsson every 24 hours, so you can always get our latest analysis of its financial health, here.\\n\\nDividend Volatility\\n\\nFrom the perspective of an income investor who wants to earn dividends for many years, there is not much point buying a stock if its dividend is regularly cut or is not reliable. For the purpose of this article, we only scrutinise the last decade of Betsson\u0027s dividend payments. The dividend has been cut on at least one occasion historically. During the past ten-year period, the first annual payment was kr1.70 in 2010, compared to kr2.84 last year. Dividends per share have grown at approximately 5.3% per year over this time. The growth in dividends has not been linear, but the CAGR is a decent approximation of the rate of change over this time frame.\\n\\nStory continues\\n\\nIt\u0027s good to see the dividend growing at a decent rate, but the dividend has been cut at least once in the past. Betsson might have put its house in order since then, but we remain cautious.\\n\\nDividend Growth Potential\\n\\nGiven that the dividend has been cut in the past, we need to check if earnings are growing and if that might lead to stronger dividends in the future. Betsson\u0027s EPS are effectively flat over the past five years. Flat earnings per share are acceptable for a time, but over the long term, the purchasing power of the company\u0027s dividends could be eroded by inflation. Growth of 0.2% is relatively anaemic growth, which we wonder about. If the company is struggling to grow, perhaps that\u0027s why it elects to pay out more than half of its earnings to shareholders.\\n\\nConclusion\\n\\nTo summarise, shareholders should always check that Betsson\u0027s dividends are affordable, that its dividend payments are relatively stable, and that it has decent prospects for growing its earnings and dividend. Betsson\u0027s payout ratio is within normal bounds. Unfortunately, the company has not been able to generate earnings growth, and cut its dividend at least once in the past. While we\u0027re not hugely bearish on it, overall we think there are potentially better dividend stocks than Betsson out there.\\n\\nIt\u0027s important to note that companies having a consistent dividend policy will generate greater investor confidence than those having an erratic one. However, there are other things to consider for investors when analysing stock performance. For example, we\u0027ve picked out 2 warning signs for Betsson that investors should know about before committing capital to this stock.\\n\\nWe have also put together a list of global stocks with a market capitalisation above $1bn and yielding more 3%.\\n\\nIf you spot an error that warrants correction, please contact the editor at editorial-team@simplywallst.com. This article by Simply Wall St is general in nature. It does not constitute a recommendation to buy or sell any stock, and does not take account of your objectives, or your financial situation. Simply Wall St has no position in the stocks mentioned.\\r\\n\\r\\nWe aim to bring you long-term focused research analysis driven by fundamental data. Note that our analysis may not factor in the latest price-sensitive company announcements or qualitative material. Thank you for reading.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/buy-betsson-ab-sto-bets-042454095.html?.tsrc=rss\u0022,\u0022symbols\u0022:[\u0022BETS-B.ST\u0022],\u0022tags\u0022:[\u0022BETSSON\u0022,\u0022DIVIDEND PAYMENTS\u0022,\u0022MARKET CAPITALISATION\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.993,\u0022neg\u0022:0.052,\u0022neu\u0022:0.837,\u0022pos\u0022:0.111},\u0022time_elapsed_date\u0022:\u00224 years ago\u0022},{\u0022date\u0022:\u00222018-02-08T06:30:00+00:00\u0022,\u0022title\u0022:\u0022Year-end report 2017\u0022,\u0022content\u0022:\u0022The quarter: 1 October - 31 December 2017:\\n\\nGroup revenue was SEK 1,256.4 (1,118.5) million, an increase of 12 percent, with 10 percent organic growth. Sportsbook revenues grew by 36 percent due to a high sportsbook margin of 8.2 percent. Organic growth in Sportsbook turnover was 7 percent. Operating income (EBIT) was SEK 218.4 (265.1) million, a decline of 18 percent, mainly due to negative currency impact, negative contribution from recent acquisitions and increased marketing. The operating margin for the quarter was 17.4 (23.7) percent. After the quarter: Company has implemented efficiency measures that will reduce net costs with SEK 50-60 million annually. Restructuring costs of approx. SEK 15 million will be taken in Q1 2018.\\n\\nThe period: full year 2017:\\n\\nGroup revenue increased by 15 percent to SEK 4,716.5 (4,117.3) million, with 9 percent organic growth. Operating income (EBIT) was SEK 882.2 (946.4) million. Net profit was SEK 786.5 (878.0) million, corresponding to SEK 5.68 (6.34) per share. Operating cash flow amounted to SEK 946.7 (1,168.5) million. The Board of Directors proposes to the AGM that SEK 393.1 (658.9) million, which corresponds to SEK 2.84 (4.76) per share, is distributed to shareholders. This is according to the new dividend policy, as communicated in March 2017.\\n\\nKey data\\n\\nSEK mQ4 2017 Q4 2016 \\u2206 Jan-Dec 2017 Jan-Dec 2016 \\u2206 Revenue1 256,41 118,512%4 716,54 117,315%Gross profit903,0830,69%3 419,43 078,011%Operating income (EBIT)218,4265,1-18%882,2946,4-7%EBIT margin17,4%23,7%-6%18,7%23,0%-4%Net income198,9243,6-18%786,5878,0-10%Earnings per share (SEK)1,441,76-18%5,686,34-10%Operating cash flow278,9332,2-16%946,71 168,5-19%Casino revenue867,3823,75%3 437,92 907,818%Sportsbook gross turnover5 965,46 117,7-2%23 117,524 392,1-5%Sportsbook revenue359,3264,436%1 140,31 080,46%Sportsbook margin after free bets8,2%6,6%6,9%6,5%Deposits4 362,43 947,111%16 308,014 457,613%Active customers615 499573 2777%\\n\\nMessage from the CEO, Pontus Lindwall:\\n\\n\\u201cRevenue for the fourth quarter was SEK 1,256.4 (1,118.5) million, an increase by 12 percent compared to the same quarter 2016. The growth was driven by sportsbook, where we saw a high margin of 8.2 percent and growth in gross turnover excluding currency effects. The growth indicates that Betsson\\u2019s new mobile web sportsbook, which was launched on core brands during the quarter, has been well received by customers so far. Casino revenue growth was strong in region Western Europe, but the region Nordics showed a decline in Casino due to strong competition.\\n\\nOperational income for the quarter was SEK 218.4 (265.1) million, a decline by 18 percent compared to the same quarter 2016. Increased marketing spend, currency effects and negative contribution from acquired companies had a negative impact on earnings.\\n\\nActions to improve business\\r\\n We have identified and started to implement a number of improvements on both the product and the marketing side. The launch of the new front-end system for Casino and Sportsbook on desktop and apps should be completed during 2018. Betsson will focus marketing spend on key markets with the ambition to achieve a higher return on investment. As an example, we have scaled back on marketing volumes for the UK.\\n\\nDuring the first quarter 2018, Betsson restructured the operations. The new flatter organisation will enable the Company to work more efficiently.\\n\\nIn order to ensure that the operational companies owned by Betsson AB lead the way within responsible gaming, Betsson AB ordered an independent review in December 2017. The report recognised that responsible gaming is taken seriously at Betsson and also offers players a wide selection of responsible gaming tools, but it also pointed out some potential enhancements to improve work further within this area. Actions are in place and the results will be followed up closely by Betsson AB management and the Board of Directors, and also by reporting KPI\\u2019s in the interim reports going forward.\\n\\nWhen I stepped in as CEO in September, my first action was to analyse the situation the company was in and together with management set a plan on how to bring Betsson back to higher growth and earnings. It will take some time until I am satisfied, but we are systematically implementing actions to improve performance and expect to see results towards the end of the year.\\u201d\\n\\nInformation on the presentation \\r\\n Betsson invites media, analysts and investors to Betsson\u0027s office at Regeringsgatan 28, Stockholm, Sweden, on Thursday, 8 February, 2018 at 09:00 CET, for the presentation of the interim report with CEO Pontus Lindwall and CFO Kaaren Hilsen. The presentation will be held in English and followed by a questions and answers session. It is also availa-ble via webcast and conference call.\\n\\nTo participate by phone, please dial: \\r\\n UK: +44 2033645374\\r\\n SE: +46 850556474\\r\\n US: +1 8557532230\\n\\nTo watch the webcast of the presentation: \\r\\n visit www.betssonab.com or \\r\\n https:\\\/\\\/edge.media-server.com\\\/m6\\\/p\\\/o23u2imd\\n\\nContacts \\r\\n Pontus Lindwall, President and CEO +46 (0)8 506 403 00 \\r\\n Kaaren Hilsen, CFO +46 (0)8 506 403 00, kaaren.hilsen@betssonab.com \\r\\n Pia Rosin, VP Corporate Communications\\u00a0 +46 (0)736 00 85 00, pia.rosin@betssonab.com\\n\\nThis information is information that Betsson AB is obliged to make public pursuant to the EU Market Abuse Regulation. The information was submitted for publication, through the agency of the contact persons set out above, at 07.30 CET on 8 February 2018.\u0022,\u0022link\u0022:\u0022https:\\\/\\\/www.globenewswire.com\\\/news-release\\\/2018\\\/02\\\/08\\\/1335795\\\/0\\\/en\\\/Year-end-report-2017.html\u0022,\u0022symbols\u0022:[\u0022BETS-B.ST\u0022],\u0022tags\u0022:[\u0022BETSSON AB\u0022,\u0022STOCKHOLM STOCK EXCHANGE:BETS B\u0022],\u0022sentiment\u0022:{\u0022polarity\u0022:0.992,\u0022neg\u0022:0.031,\u0022neu\u0022:0.871,\u0022pos\u0022:0.099},\u0022time_elapsed_date\u0022:\u00226 years ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-10-24\u0022,\u0022exception\u0022:null}"},{"id":1793,"data":"{\u0022failed\u0022:false,\u0022symbol\u0022:\u0022SSYS\u0022,\u0022stockName\u0022:\u0022Stratasys Ltd\u0022,\u0022stockExchange\u0022:\u0022US\u0022,\u0022duration\u0022:\u0022-2 years\u0022,\u0022lastCloseVal\u0022:7.63,\u0022terms\u0022:[\u00223d 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Peripherals\u0022,\u0022HomeCategory\u0022:\u0022ADR\u0022,\u0022IsDelisted\u0022:false,\u0022Description\u0022:\u0022Stratasys Ltd. provides connected polymer-based 3D printing solutions. It offers range of 3D printing systems, which includes polyjet printer, Fused Deposition Modeling (FDM) printers, stereolithography printing systems, origin P3 printers, and selective absorption fusion printer for additive manufacturing, and tooling and rapid prototyping for various vertical markets, such as automotive, aerospace, consumer products and healthcare. The company provides consumable materials, including 3D printing materials comprising FDM, polyjet, and stereolithography materials for manufacturing applications, such as jigs and fixtures, investment casting, and injection mold or composite tooling applications; and other material. In addition, it offers software and services, which includes cloud, desktop and mobile technologies comprising GrabCAD, an additive manufacturing platform to manage production-scale operations; and GrabCAD Print, job programming software enables the unique features of 3D printing technologies, such as creating lightweight, structurally sound infills for FDM, and multi-material and color and material management for polyjet. The company also provides GrabCAD Shop including scheduling, remote monitoring, and analytics; GrabCAD Connect provides two-way SDK integration for third-party software applications; and GrabCAD Community, an online community of professional engineers, designers, manufacturers and students who share their practices through tutorials, discussion forums, design\\\/print challenges, and 3D content. Further, it offers GrabCAD Shop, which simplifies 3D printing shop workflow; GrabCAD Streamline Software Development Kit (SDK) to support enterprise goals such as system connectivity, compliance, and workflow automation; and Grab CAD Software Partner program for independent software vendors. The company sells its products through a network of resellers and independent sales agents worldwide. Stratasys Ltd. is headquartered in Eden Prairie, Minnesota.\u0022,\u0022Address\u0022:\u00227665 Commerce Way, Eden Prairie, MN, United States, 55344\u0022,\u0022AddressData\u0022:{\u0022Street\u0022:\u00227665 Commerce Way\u0022,\u0022City\u0022:\u0022Eden Prairie\u0022,\u0022State\u0022:\u0022MN\u0022,\u0022Country\u0022:\u0022United States\u0022,\u0022ZIP\u0022:\u002255344\u0022},\u0022Listings\u0022:[{\u0022Code\u0022:\u0022SCY\u0022,\u0022Exchange\u0022:\u0022BE\u0022,\u0022Name\u0022:\u0022STRATASYS LTD\u0022}],\u0022Officers\u0022:[{\u0022Name\u0022:\u0022Mr. Yoav Zeif\u0022,\u0022Title\u0022:\u0022Chief Executive Officer\u0022,\u0022YearBorn\u0022:\u00221966\u0022},{\u0022Name\u0022:\u0022Mr. S. 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ancingActivities\u0022:\u0022-1280000.00\u0022,\u0022changeToOperatingActivities\u0022:null,\u0022netIncome\u0022:\u0022-20973000.00\u0022,\u0022changeInCash\u0022:\u0022-14537000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u0022253882000.00\u0022,\u0022endPeriodCashFlow\u0022:\u0022239345000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u0022-2457000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u002222951000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:null,\u0022dividendsPaid\u0022:null,\u0022changeToInventory\u0022:\u0022-2423000.00\u0022,\u0022changeToAccountReceivables\u0022:\u00223900000.00\u0022,\u0022salePurchaseOfStock\u0022:null,\u0022otherCashflowsFromFinancingActivities\u0022:\u0022-1280000.00\u0022,\u0022changeToNetincome\u0022:null,\u0022capitalExpenditures\u0022:\u002210967000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u0022-6552000.00\u0022,\u0022stockBasedCompensation\u0022:\u00224784000.00\u0022,\u0022otherNonCashItems\u0022:\u0022213000.00\u0022,\u0022freeCashFlow\u0022:\u0022-13424000.00\u0022},\u00222016-06-30\u0022:{\u0022date\u0022:\u00222016-06-30\u0022,\u0022filing_date\u0022:\u00222016-08-04\u0022,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:null,\u0022changeToLiabilities\u0022:\u00222112000.00\u0022,\u0022totalCashflowsFromInvestingActivities\u0022:null,\u0022netBorrowings\u0022:null,\u0022totalCashFromFinancingActivities\u0022:\u0022589000.00\u0022,\u0022changeToOperatingActivities\u0022:null,\u0022netIncome\u0022:\u0022-18653000.00\u0022,\u0022changeInCash\u0022:\u002240706000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u0022213176000.00\u0022,\u0022endPeriodCashFlow\u0022:\u0022253882000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u00226892000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u002223296000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:null,\u0022dividendsPaid\u0022:null,\u0022changeToInventory\u0022:\u0022-3387000.00\u0022,\u0022changeToAccountReceivables\u0022:\u0022-4264000.00\u0022,\u0022salePurchaseOfStock\u0022:null,\u0022otherCashflowsFromFinancingActivities\u0022:\u0022589000.00\u0022,\u0022changeToNetincome\u0022:null,\u0022capitalExpenditures\u0022:\u002214020000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u0022-2768000.00\u0022,\u0022stockBasedCompensation\u0022:\u00225479000.00\u0022,\u0022otherNonCashItems\u0022:\u00221976000.00\u0022,\u0022freeCashFlow\u0022:\u0022-7128000.00\u0022},\u00222016-03-31\u0022:{\u0022date\u0022:\u00222016-03-31\u0022,\u0022filing_date\u0022:\u00222016-05-09\u0022,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:null,\u0022changeToLiabilities\u0022:null,\u0022totalCashflowsFromInvestingActivities\u0022:null,\u0022netBorrowings\u0022:null,\u0022totalCashFromFinancingActivities\u0022:\u0022122000.00\u0022,\u0022changeToOperatingActivities\u0022:null,\u0022netIncome\u0022:\u0022-23171000.00\u0022,\u0022changeInCash\u0022:\u0022-44416000.00\u0022,\u0022beginPeriodCashFlow\u0022:\u0022257592000.00\u0022,\u0022endPeriodCashFlow\u0022:\u0022213176000.00\u0022,\u0022totalCashFromOperatingActivities\u0022:\u002231584000.00\u0022,\u0022issuanceOfCapitalStock\u0022:null,\u0022depreciation\u0022:\u002223496000.00\u0022,\u0022otherCashflowsFromInvestingActivities\u0022:null,\u0022dividendsPaid\u0022:null,\u0022changeToInventory\u0022:\u0022363000.00\u0022,\u0022changeToAccountReceivables\u0022:\u002215558000.00\u0022,\u0022salePurchaseOfStock\u0022:null,\u0022otherCashflowsFromFinancingActivities\u0022:\u0022122000.00\u0022,\u0022changeToNetincome\u0022:null,\u0022capitalExpenditures\u0022:\u00227830000\u0022,\u0022changeReceivables\u0022:null,\u0022cashFlowsOtherOperating\u0022:null,\u0022exchangeRateChanges\u0022:null,\u0022cashAndCashEquivalentsChanges\u0022:null,\u0022changeInWorkingCapital\u0022:\u002229373000.00\u0022,\u0022stockBasedCompensation\u0022:\u00225623000.00\u0022,\u0022otherNonCashItems\u0022:\u0022-2848000.00\u0022,\u0022freeCashFlow\u0022:\u002223754000.00\u0022},\u00222015-12-31\u0022:{\u0022date\u0022:\u00222015-12-31\u0022,\u0022filing_date\u0022:\u00222016-03-21\u0022,\u0022currency_symbol\u0022:\u0022USD\u0022,\u0022investments\u0022:\u00224227000.00\u0022,\u0022changeToLiabilities\u0022:\u00228204000.00\u0022,\u0022totalCashflowsFromInvestingActivities\u0022:\u0022-93102000.00\u0022,\u0022netBorrowings\u0022:\u0022-50000000.00\u0022,\u0022totalCashFromFinancingActivities\u0022:\u0022-510000.00\u0022,\u0022changeToOperatingActivities\u0022:\u0022-4889000.00\u0022,\u0022netIncome\u0022:\u0022-232526000.00\u0022,\u0022changeInCash\u0022:\u002225373000.00\u0022,\u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Introduces a New Era of Precision and Efficiency in 3D Printed Fashion\u0022,\u0022content\u0022:\u0022A Stratasys J850 TechStyle\\u2122 Solution with the new Fabric Alignment Station (Photo: Business Wire) The TechStyle\\u2122 Fabric Alignment Station provides unprecedented accuracy to meet the demands of high-end fashion designers (Photo: Business Wire)\\n\\nThe New TechStyle Fabric Alignment Station Meets High-End Fashion Demands to Seamlessly Integrate Various Technologies While Printing with High Accuracy\\n\\nMINNEAPOLIS \u0026 REHOVOT, Israel, September 30, 2024--(BUSINESS WIRE)--Stratasys Ltd. (NASDAQ: SSYS) today announced the launch of its TechStyle\\u2122 Fabric Alignment Station, the next milestone in the evolution of Stratasys 3DFashion\\u2122 technology. This solution is designed to meet the demands of high-end fashion designers, offering a unique workflow, enabling integration with embroidery, laser cutting, embossing, 2D silk printing, and many other production methods.\\n\\nBy extending the capabilities of the J850 TechStyle\\u2122 full color solution, designers can now enjoy unprecedented accuracy by aligning 2D printed patterns with intricate 3D designs within defined garment areas such as pockets and patches, and 3D designs on specific sections of a garment created using stitching techniques like embroidery and knitting.\\n\\nThis unprecedented additive manufacturing fashion solution eliminates the trial-and-error traditionally associated with aligning designs on finished garments, reducing costs, improving production times, and promoting more sustainable production by minimizing material waste.\\n\\n\\\u0022Today\\u2019s fashion consumers value personalization, driving demand for customizable and bespoke products, empowering them to achieve a new level of design,\\\u0022 said Zehavit Reisin, Senior Vice President, Consumer Solutions at Stratasys. \\\u0022This solution is transforming the creative process and production efficiency.\\\u0022\\n\\nKey Features and Benefits:\\n\\nEnhanced Design Accuracy: The station aligns 2D patterns and 3D designs with exceptional precision, allowing designers to place 3D printed elements exactly where they are needed.\\n\\nEfficiency and Cost Savings: By automating the alignment process, the station reduces the need for manual adjustments, saving time and lowering production costs.\\n\\nSustainability: The solution minimizes material waste, supporting environmentally conscious production practices.\\n\\nFor more information on the J850 TechStyle solution, please click here.\\n\\nAbout Stratasys:\\n\\nStratasys is leading the global shift to additive manufacturing with innovative 3D printing solutions for industries such as aerospace, automotive, consumer products, and healthcare. Through smart and connected 3D printers, polymer materials, a software ecosystem, and parts on demand, Stratasys solutions deliver competitive advantages at every stage in the product value chain. The world\\u2019s leading organizations turn to Stratasys to transform product design, bring agility to manufacturing and supply chains, and improve patient care.\\n\\nStory continues\\n\\nTo learn more about Stratasys, visit www.stratasys.com, the Stratasys blog, X\\\/Twitter, LinkedIn, or Facebook. Stratasys reserves the right to utilize any of the foregoing social media platforms, including Stratasys\\u2019 websites, to share material, non-public information pursuant to the SEC\\u2019s Regulation FD. To the extent necessary and mandated by applicable law, Stratasys will also include such information in its public disclosure filings.\\n\\nStratasys, 3DFashion, TechStyle, and J850 are trademarks or registered trademarks of Stratasys Ltd. and\\\/or its affiliates.\\n\\nNote Regarding Forward-Looking Statement\\n\\nThe statements in this press release relating to Stratasys\\u2019 beliefs regarding the benefits consumers will experience from using the TechStyle\\u2122 Fabric Alignment Station, and other statements in this press release are forward-looking statements reflecting management\u0027s current expectations and beliefs. These forward-looking statements are based on current information that is, by its nature, subject to rapid and even abrupt change. Due to risks and uncertainties associated with Stratasys\u0027 business, actual results could differ materially from those projected or implied by these forward-looking statements. These risks and uncertainties include, but are not limited to: the degree of our success at introducing new or improved products and solutions that gain market share; the degree of growth of the 3D printing market generally; the impact of potential shifts in the prices or margins of the products that we sell or services that we provide, including due to a shift towards lower-margin products or services; the impact of competition and new technologies; potential further charges against earnings that we could be required to take due to impairment of additional goodwill or other intangible assets; to the extent of our success at successfully consummating acquisitions or investments in new businesses, technologies, products or services; potential changes in our management and board of directors; global market, political and economic conditions, and in the countries in which we operate in particular; risks related to infringement of our intellectual property rights by others or infringement of others\u0027 intellectual property rights by us; the extent of our success at maintaining our liquidity and financing our operations and capital needs; the impact of tax regulations on our results of operations and financial condition; and other risk factors set forth under the caption \\\u0022Risk Factors\\\u0022 in Stratasys\\u2019 most recent Annual Report on Form 20-F, filed with the Securities and Exchange Commission (SEC) on March 11th, 2024. Readers are urged to carefully review and consider the various disclosures made throughout our 2023 Annual Report and our other reports filed with or furnished to the SEC, which are designed to advise interested parties of the risks and factors that may affect our business, financial condition, results of operations and prospects. Any guidance provided, and other forward-looking statements made, in this press release are made as of the date hereof, and Stratasys undertakes no obligation to publicly update or revise any forward-looking statements, whether as a result of new information, future events or otherwise, except as required by law.\\n\\nView source version on businesswire.com: https:\\\/\\\/www.businesswire.com\\\/news\\\/home\\\/20240930361143\\\/en\\\/\\n\\nContacts\\n\\nMedia and Investor contacts:\\n\\nMedia: \\r\\nChris Reese, Stratasys Corporate, Americas Region, EMEA Region Public Relations, +1 651 357 0877\\r\\nErik Snider, Stratasys Corporate, Global, EMEA Region and Israel Public Relations, +972 74 745 6053\\n\\nInvestor Relations: \\r\\nYonah Lloyd, Stratasys Investor Relations, +972 74 745 4919\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/stratasys-introduces-era-precision-efficiency-123000874.html\u0022,\u0022symbols\u0022:[\u0022SCY.BE\u0022,\u0022SCY.STU\u0022,\u0022SSYS.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.996,\u0022neg\u0022:0.039,\u0022neu\u0022:0.848,\u0022pos\u0022:0.113},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022},{\u0022date\u0022:\u00222024-09-30T09:24:03+00:00\u0022,\u0022title\u0022:\u0022Q2 Earnings Outperformers: Desktop Metal (NYSE:DM) And The Rest Of The Custom Parts Manufacturing Stocks\u0022,\u0022content\u0022:\u0022Q2 Earnings Outperformers: Desktop Metal (NYSE:DM) And The Rest Of The Custom Parts Manufacturing Stocks\\n\\nEarnings results often indicate what direction a company will take in the months ahead. With Q2 behind us, let\\u2019s have a look at Desktop Metal (NYSE:DM) and its peers.\\n\\nOnshoring and inventory management\\u2013themes that grew in focus after COVID wreaked havoc on global supply chains\\u2013are tailwinds for companies that combine economies of scale with reliable service. Many in the space have adopted 3D printing to efficiently address the need for bespoke parts and components, but all companies are still at the whim of economic cycles. For example, consumer spending and interest rates can greatly impact the industrial production that drives demand for these companies\\u2019 offerings.\\n\\nThe 4 custom parts manufacturing stocks we track reported a softer Q2. As a group, revenues missed analysts\\u2019 consensus estimates by 5.1% while next quarter\\u2019s revenue guidance was 6.7% below.\\n\\nAfter much suspense, the Federal Reserve cut its policy rate by 50bps (half a percent) in September 2024. This marks the central bank\\u2019s first easing of monetary policy since 2020 and the end of its most pointed inflation-busting campaign since the 1980s. Inflation had begun to run hot in 2021 post-COVID due to a confluence of factors such as supply chain disruptions, labor shortages, and stimulus spending. While CPI (inflation) readings have been supportive lately, employment measures have prompted some concern. Going forward, the markets will debate whether this rate cut (and more potential ones in 2024 and 2025) is perfect timing to support the economy or a bit too late for a macro that has already cooled too much.\\n\\nLuckily, custom parts manufacturing stocks have performed well with share prices up 16.6% on average since the latest earnings results.\\n\\nWeakest Q2: Desktop Metal (NYSE:DM)\\n\\nOriginating from a research lab at MIT, Desktop Metal (NYSE:DM) offers 3D printers, production materials, and software to many industries.\\n\\nDesktop Metal reported revenues of $38.93 million, down 26.9% year on year. This print fell short of analysts\\u2019 expectations by 14.4%. Overall, it was a disappointing quarter for the company with a miss of analysts\\u2019 earnings estimates.\\n\\n\\u201cSince the beginning of 2022, Desktop Metal has worked tirelessly to align our cost structure with macroeconomic realities, making hard decisions about the business. By the end of Q1 we had delivered nine quarters of non-GAAP opex reduction and brought our cash burn down dramatically. I am proud of the progress we have shown,\\u201d said Ric Fulop, Founder and CEO of Desktop Metal. Desktop Metal Total Revenue\\n\\nDesktop Metal delivered the weakest performance against analyst estimates and slowest revenue growth of the whole group. Unsurprisingly, the stock is down 4.5% since reporting and currently trades at $4.69.\\n\\nStory continues\\n\\nRead our full report on Desktop Metal here, it\\u2019s free.\\n\\nBest Q2: Proto Labs (NYSE:PRLB)\\n\\nPioneering the concept of online quoting and manufacturing for custom prototypes and low-volume production parts, Proto Labs (NYSE:PRLB) offers injection molding, 3D printing, and sheet metal fabrication for manufacturers in various industries.\\n\\nProto Labs reported revenues of $125.6 million, up 2.8% year on year, in line with analysts\\u2019 expectations. The business performed better than its peers, but overall, it was a mixed quarter with strong earnings guidance for the next quarter but revenue guidance for next quarter missing analysts\\u2019 expectations. Proto Labs Total Revenue\\n\\nProto Labs achieved the fastest revenue growth among its peers. Although it had a fine quarter compared its peers, the market seems unhappy with the results as the stock is down 11% since reporting. It currently trades at $29.84.\\n\\nIs now the time to buy Proto Labs? Access our full analysis of the earnings results here, it\\u2019s free.\\n\\nStratasys (NASDAQ:SSYS)\\n\\nBorn from the Founder\\u2019s idea of making a toy frog with a glue gun, Stratasys (NASDAQ:SSYS) offers 3D printers and related materials, software, and services to many industries.\\n\\nStratasys reported revenues of $138 million, down 13.6% year on year, falling short of analysts\\u2019 expectations by 5.7%. It was a disappointing quarter as it posted full-year revenue guidance missing analysts\\u2019 expectations.\\n\\nStratasys delivered the weakest full-year guidance update in the group. Interestingly, the stock is up 5.5% since the results and currently trades at $8.11.\\n\\nRead our full analysis of Stratasys\\u2019s results here.\\n\\nMarkforged (NYSE:MKFG)\\n\\nBeginning as a start-up at SolidWorks World\\u2013an annual design and engineering conference, Markforged (NYSE:MKFG) offers 3D printers and softwares to manufacturers of various industries.\\n\\nMarkforged reported revenues of $21.69 million, down 14.8% year on year. This number met analysts\\u2019 expectations. Taking a step back, it was a disappointing quarter as it recorded full-year revenue guidance missing analysts\\u2019 expectations.\\n\\nMarkforged delivered the biggest analyst estimates beat and highest full-year guidance raise among its peers. The stock is up 76.3% since reporting and currently trades at $4.76.\\n\\nRead our full, actionable report on Markforged here, it\\u2019s free.\\n\\nJoin Paid Stock Investor Research\\n\\nHelp us make StockStory more helpful to investors like yourself. Join our paid user research session and receive a $50 Amazon gift card for your opinions. Sign up here.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/q2-earnings-outperformers-desktop-metal-092403804.html\u0022,\u0022symbols\u0022:[\u0022DM.US\u0022,\u0022MKFG.US\u0022,\u0022PRLB.US\u0022,\u0022SCY.BE\u0022,\u0022SCY.STU\u0022,\u0022SSYS.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.992,\u0022neg\u0022:0.066,\u0022neu\u0022:0.824,\u0022pos\u0022:0.109},\u0022time_elapsed_date\u0022:\u00222 days ago\u0022},{\u0022date\u0022:\u00222024-09-26T14:54:57+00:00\u0022,\u0022title\u0022:\u0022Stratasys\\u2019 (SSYS) F3300: Can Innovation Drive Growth Amidst Market Challenges?\u0022,\u0022content\u0022:\u0022We recently published a list of 10 Worst 3D Printing and Additive Manufacturing Stocks To Buy. In this article, we are going to take a look at where Stratasys (NASDAQ:SSYS) stands against other worst 3D printing and additive manufacturing stocks.\\n\\nThe Global 3D Printing \u0026 Additive Manufacturing Market\\n\\n3D printing and additive manufacturing (AM) is a technology that creates three-dimensional objects by layering materials. This technology offers a range of benefits, including the ability to use various materials such as plastics, metals, and biomaterials. It has diverse applications across engineering, healthcare, and entertainment industries and employs different processes like stereolithography and digital light processing. Notably, 3D printing enables the production of parts with high precision and reliability and allows for the creation of customized parts with intricate geometric structures.\\n\\nAccording to a report by Precedence Research, the global 3D printing market was valued at $24.61 billion in 2024 and is expected to reach $117.78 billion by 2033, expanding at a CAGR of 19%. North America accounts for over 34% of revenue share, whereas the European market experienced the fastest growth in 2023. Europe is poised to emerge as a hub for additive manufacturing, driven by the presence of numerous industry players who possess in-depth technical expertise in additive manufacturing techniques. In terms of printer type, industrial printers led the way, generating more than 77% of total revenues. Stereolithography technology, which uses ultraviolet (UV) light to create objects from liquid resin, played a significant role, contributing over 11% of total revenues.\\n\\nThe 3D printing market revealed a strong presence of prototyping applications, which emerged as the largest segment, accounting for over 55% of total revenues. This indicates that the technology is being widely adopted to create prototypes, which is a critical stage in the product development process. The prototyping segment\\u2019s dominance can be attributed to the ability of 3D printing to rapidly produce complex designs, test, and iterate on them, and refine the final product. This has led to increased adoption in various industries, with the automotive sector being a prime example. The automotive vertical was the leading industry, capturing over 25% of revenue share, as 3D printing is being used to create complex car parts, tooling, and prototypes. Furthermore, the market also saw a significant contribution from metal materials, which dominated the market, accounting for over 53% of global revenue.\\n\\nStory continues\\n\\nARK Invest Forecasts 40% Annual Growth for 3D Printing Industry\\n\\nAccording to Tasha Keen, Director of Investment Analysis and Institutional Strategies at ARK Invest, 3D printing will scale at a 40% annually to reach $180 billion by 2030. With its potential to disrupt industries worth over $4 trillion in revenue, Keen is confident that 3D printing will become a transformative technology that revolutionizes how industries manufacture and produce goods.\\n\\nAccording to Keen, 3D printing is already being used extensively in prototyping, tooling, and production, with the latter being the largest addressable opportunity. The automotive industry, in particular, is embracing 3D printing, with companies such as Tesla experimenting with printing entire vehicle underbodies. The technology has the potential to simplify supply chains, reduce labour costs, and improve product strength by eliminating joints. Moreover, 3D printing can significantly reduce automotive development time and design validation costs.\\n\\nBeyond automotive, 3D printing is also transforming the medical industry, enabling breakthroughs in surgeries and improving patient outcomes. Using patient-specific 3D printed tools and moulds has improved surgical accuracy and results by 40-50% and reduced operating time by 30%. While the 3D printing industry itself has grown slower than expected, Keen believes that software-enabled 3D printers will be a game-changer. These machines, equipped with sensors, can collect data on each print and send it back to manufacturers, enabling them to improve the print process over time. Keen forecasts that this could lead to higher margins for printer manufacturers and create a more sustainable business model.\\n\\nThe 3D printing market is poised for significant growth, driven by its diverse applications across various industries, including engineering, healthcare, and entertainment. The technology\\u2019s ability to produce parts with high precision and reliability, as well as its capacity to create customized parts with geometric structures, has made it an attractive solution for companies looking to innovate and improve their product development processes. With that in context, let\\u2019s take a look at the 10 worst 3d printing and additive manufacturing stocks to buy.\\n\\nWhy do we care about what hedge funds do? The reason is simple: our research has shown that we can outperform the market by imitating the top stock picks of the best hedge funds. Our quarterly newsletter\\u2019s strategy selects 14 small-cap and large-cap stocks every quarter and has returned 275% since May 2014, beating its benchmark by 150 percentage points (see more details here). Stratasys\u0027 (SSYS) F3300: Can Innovation Drive Growth Amidst Market Challenges?\\n\\nA close-up of a 3D printed object, showcasing the intricacies of the 3D printing materials.\\n\\nStratasys (NASDAQ:SSYS)\\n\\nShort % of Float: 3.62%\\n\\nNumber of Hedge Fund Investors in Q2 2024: 13\\n\\nStratasys (NASDAQ:SSYS) is one of the largest and most established 3D printing companies and offers various additive manufacturing solutions. Stratasys (NASDAQ:SSYS) provides 3D printers, materials, and software for prototyping and production, serving healthcare, automotive, aerospace, eyewear, art and design, wearables, and consumer goods. The company\\u2019s continued innovation in 3D printing technology has made it a global leader in additive manufacturing.\\n\\nIn March, Stratasys (NASDAQ:SSYS) launched the F3300, a new industrial 3D printer that sets a new standard in fused deposition modelling technology. The F3300 boasts up to twice the speed and throughput of standard 3D printers, making it an ideal solution for manufacturing applications in various industries, including automotive, aerospace, rail, general manufacturing, and medical.\\n\\nOn September 10, the company reported securing over 30 orders for its advanced F3300 industrial 3D printer shortly after its launch. Notable customers include BAE, Sikorsky, the US Department of Defense, and the US Department of Energy. The F3300 industrial 3D printer is designed to meet the needs of performance-oriented organisations and helps overcome manufacturing challenges such as supply chain disruptions, distributed manufacturing, and sustainability regulations.\\n\\nOn September 9, Stratasys (NASDAQ:SSYS), in collaboration with Materialise, announced the launch of the Stratasys Neo Build Processor for Investment Casting, a new solution designed to accelerate the production of high-quality investment casting master patterns. This innovative build processor, developed for Stratasys Neo 450 and Neo 800 stereolithography (SLA) 3D printers, offers up to 50% faster file processing and significantly enhanced print speeds, which result in up to 75% time savings compared to traditional methods.\\n\\nStratasys\\u2019 (NASDAQ:SSYS) advanced F3300 industrial 3D printer and the Stratasys Neo Build Processor for Investment Casting have set a new standard in fused deposition modelling technology by offering up to twice the speed and throughput of standard 3D printers. As a global leader in additive manufacturing, Stratasys (NASDAQ:SSYS) is well-positioned to continue driving innovation and growth in the industry. Despite 3.62% of shares being shorted, 13 hedge funds showed a bullish stance on the stock as of the second quarter and own stocks worth $70.59 million.\\u00a0Rubric Capital Management is the largest shareholder in the company, holding $50.07 million worth of stock as of June 30.\\n\\nOverall, SSYS ranks 8th on our list of 10 worst 3D printing and additive manufacturing stocks to buy. While we acknowledge the potential of SSYS as an investment, our conviction lies in the belief that AI stocks hold greater promise for delivering higher returns and doing so within a shorter timeframe. If you are looking for an AI stock that is more promising than SSYS but that trades at less than 5 times its earnings, check out our report about the cheapest AI stock.\\n\\nREAD NEXT: $30 Trillion Opportunity: 15 Best Humanoid Robot Stocks to Buy According to Morgan Stanley and Jim Cramer Says NVIDIA \\u2018Has Become A Wasteland\\u2019.\\n\\nDisclosure: None. This article is originally published at\\u00a0Insider Monkey.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/stratasys-ssys-f3300-innovation-drive-145457420.html\u0022,\u0022symbols\u0022:[\u0022SCY.BE\u0022,\u0022SCY.STU\u0022,\u0022SSYS.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.997,\u0022neg\u0022:0.014,\u0022neu\u0022:0.882,\u0022pos\u0022:0.104},\u0022time_elapsed_date\u0022:\u00226 days ago\u0022},{\u0022date\u0022:\u00222024-09-24T11:30:00+00:00\u0022,\u0022title\u0022:\u0022Stratasys Announces 2024 Annual General Meeting of Shareholders\u0022,\u0022content\u0022:\u0022EDEN PRAIRIE, Minn. \u0026 REHOVOT, Israel, September 24, 2024--(BUSINESS WIRE)--Stratasys Ltd. (Nasdaq: SSYS) (\\\u0022Stratasys\\\u0022 or the \\\u0022Company\\\u0022) today announced that it will hold its 2024 Annual General Meeting of Shareholders (the \\\u0022Meeting\\\u0022) on Thursday, November 7, 2024, at 3:00 p.m. Israel time, at Meitar Law Offices, 16 Abba Hillel Road, 10th floor, Ramat Gan 5250608, Israel. The record date for shareholders entitled to vote at the Meeting is Monday, September 30, 2024.\\n\\nThe agenda for the Meeting is as follows:\\n\\n1. Re-election of each of Messrs. S. Scott Crump, Aris Kekedjian, John J. McEleney, Dov Ofer, David Reis and Yair Seroussi, and Ms. Adina Shorr, and initial election of Mr. Yoav Zeif (who currently serves as the Company\\u2019s Chief Executive Officer), collectively constituting the Company\\u2019s director nominees, to serve as a director of the Company until the Company\\u2019s next annual general meeting of shareholders and until the due election and qualification of his or her successor, or until his or her earlier resignation, replacement or removal.\\n\\n2. Renewal of the Company\\u2019s Compensation Policy for Executive Officers and Directors, as required under the Israeli Companies Law, 5759-1999 (the \\\u0022Companies Law\\\u0022).\\n\\n3. Approval of a clarification to the definition of Change in Control that will align the \\\u0022double trigger\\\u0022 for severance benefits under the employment agreement of the Company\\u2019s Chief Executive Officer, Yoav Zeif, with that of the Company\\u2019s other senior executives.\\n\\n4. Reappointment of Kesselman \u0026 Kesselman, a member of PricewaterhouseCoopers International Limited, as the Company\\u2019s independent auditors for the year ending December 31, 2024 and for the additional period until the Company\\u2019s next annual general meeting of shareholders, and authorization of the Board (upon recommendation of the audit committee of the Board) to fix their remuneration.\\n\\nStratasys\\u2019 Board recommends that Stratasys\\u2019 shareholders vote in favor of each of the above proposals.\\n\\nThe affirmative vote of the holders of a majority of the voting power represented at the Meeting in person or by proxy and voting thereon (which excludes abstentions and broker non-votes) is necessary for the approval of each of the proposals. Under the Companies Law, the approval of each of Proposals 2 and 3 is also subject to satisfaction of one of the following additional voting requirements:\\n\\nthe majority voted in favor of the proposal must include a majority of the shares held by non-controlling shareholders who do not have a conflict of interest (referred to in the Companies Law as a \\\u0022personal interest\\\u0022) in the approval of the proposal that are voted at the Meeting, excluding abstentions; or the total number of shares held by non-controlling, non-conflicted shareholders (as described in the previous bullet-point) voted against the proposal must not exceed two percent (2%) of the aggregate voting rights in the Company.\\n\\nStory continues\\n\\nFor purposes of the above special voting requirements, to the best of our knowledge, there are no shareholders who would be deemed \\\u0022controlling shareholders\\\u0022 of the Company under the Companies Law.\\n\\nIn addition to the foregoing proposals, at the Meeting, the audited, consolidated financial statements of Stratasys for the annual period ended December 31, 2023 will be presented to, and considered by, Stratasys\\u2019 shareholders (which will not involve a vote).\\n\\nWhether or not you attend the Meeting, your vote is important. Accordingly, you are asked to participate and vote regardless of the number of ordinary shares you own.\\n\\nAdditional Information Concerning the Annual General Meeting and Where to Find It\\n\\nIn connection with the Meeting, Stratasys will send to its shareholders a proxy statement describing in detail the proposals to be addressed at the Meeting and providing additional logistical information related to the Meeting, the procedure for voting by proxy, and various other information related to the Meeting, along with a proxy card or voting instruction form enabling Stratasys\u0027 shareholders to indicate their vote on each matter or instruct their brokers or other nominees how to vote on each matter (as applicable). The Company will also furnish copies of the proxy statement and a related proxy card to the Securities and Exchange Commission (the \\\u0022SEC\\\u0022) in a Report of Foreign Private Issuer on Form 6-K, which may be obtained for free from the SEC\\u2019s website at www.sec.gov or the Company\\u2019s website at www.stratasys.com, or by directing such request to the Company\\u2019s Chief Communications Officer and VP, Investor Relations, Yonah Lloyd, at the email address provided below. This press release is also available on the Stratasys website at www.stratasys.com.\\n\\nIn order to vote, if you are a record shareholder or a street holder (i.e., you hold your shares through a bank, broker or other nominee) and receive a physical proxy card or voting instruction form, respectively, you may complete and sign it and send it in to Broadridge, our agent for tallying the votes for the Meeting, in the envelope to be enclosed, Whether you are a record shareholder or a street holder, you may also vote or provide voting instructions to your bank, broker or nominee online (at www.proxyvote.com) or via telephone, In all such cases, your vote must be received by 11:59 p.m., Eastern time, on Wednesday, November 6, 2024. If you are a record shareholder and send in your proxy card directly to our registered Israeli office, it must be received at least four hours prior to the appointed time for the Meeting (i.e., 11:00 a.m., Israel time, on Thursday, November 7, 2024).\\n\\nThe final day on which notice may be submitted to Stratasys pursuant to Section 66(b) of the Companies Law and Section 5A(a) of the Companies Regulations (Notices and Announcements of General Meetings and Class Meetings in Public Companies and Additions of Agenda Items, 5760-2000) promulgated thereunder, shall be October 1, 2024. Any shareholder submitting such a notice should send it to the Company\\u2019s Israeli offices, 1 Holtzman Street, Science Park, P.O. Box 2496, Rehovot 76124, Israel, Attention: Chief Legal Officer, Ms. Vered Ben-Jacob, email: Vered.BenJacob@stratasys.com. To the extent that the Board determines to amend the notice of the Meeting as a result of any such submission, the Company will publish an updated notice with respect to the Meeting, no later than October 8, 2024, to be furnished to the SEC under cover of a Report of Foreign Private Issuer on Form 6-K.\\n\\nParticipants in the Solicitation\\n\\nStratasys and certain of its directors and executive officers may be deemed to be participants in the solicitation of proxies in respect of the Meeting. Information about the directors and executive officers of Stratasys, including a description of their direct or indirect interests, by security holdings or otherwise, is set forth in Stratasys\\u2019 Annual Report on Form 20-F for the fiscal year ended December 31, 2023, which was filed with the SEC on March 11, 2024. You may obtain free copies of that document from Stratasys using the sources indicated above.\\n\\nAbout Stratasys Ltd.\\n\\nStratasys is leading the global shift to additive manufacturing with innovative 3D printing solutions for industries such as aerospace, automotive, consumer products, healthcare, fashion and education. Through smart and connected 3D printers, polymer materials, a software ecosystem, and parts on demand, Stratasys solutions deliver competitive advantages at every stage in the product value chain. The world\\u2019s leading organizations turn to Stratasys to transform product design, bring agility to manufacturing and supply chains, and improve patient care.\\n\\nTo learn more about Stratasys, visit www.stratasys.com, the Stratasys blog, X.com (formerly Twitter), LinkedIn, or Facebook. Stratasys reserves the right to utilize any of the foregoing social media platforms, including the Company\\u2019s websites, to share material, non-public information pursuant to the SEC\\u2019s Regulation FD. To the extent necessary and mandated by applicable law, Stratasys will also include such information in its public disclosure filings.\\n\\nStratasys is a registered trademark and the Stratasys signet is a trademark of Stratasys Ltd. and\\\/or its subsidiaries or affiliates. All other trademarks are the property of their respective owners.\\n\\nView source version on businesswire.com: https:\\\/\\\/www.businesswire.com\\\/news\\\/home\\\/20240924567735\\\/en\\\/\\n\\nContacts\\n\\nStratasys Investor Relations \\r\\nYonah Lloyd\\r\\nCCO, Vice President - Investor Relations\\r\\nYonah.Lloyd@stratasys.com\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/stratasys-announces-2024-annual-general-113000217.html\u0022,\u0022symbols\u0022:[\u0022SCY.BE\u0022,\u0022SCY.STU\u0022,\u0022SSYS.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.998,\u0022neg\u0022:0.007,\u0022neu\u0022:0.911,\u0022pos\u0022:0.082},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022},{\u0022date\u0022:\u00222024-09-20T08:47:27+00:00\u0022,\u0022title\u0022:\u0022Q2 Earnings Recap: Proto Labs (NYSE:PRLB) Tops Custom Parts Manufacturing Stocks\u0022,\u0022content\u0022:\u0022Q2 Earnings Recap: Proto Labs (NYSE:PRLB) Tops Custom Parts Manufacturing Stocks\\n\\nAs the craze of earnings season draws to a close, here\\u2019s a look back at some of the most exciting (and some less so) results from Q2. Today, we are looking at custom parts manufacturing stocks, starting with Proto Labs (NYSE:PRLB).\\n\\nOnshoring and inventory management\\u2013themes that grew in focus after COVID wreaked havoc on global supply chains\\u2013are tailwinds for companies that combine economies of scale with reliable service. Many in the space have adopted 3D printing to efficiently address the need for bespoke parts and components, but all companies are still at the whim of economic cycles. For example, consumer spending and interest rates can greatly impact the industrial production that drives demand for these companies\\u2019 offerings.\\n\\nThe 4 custom parts manufacturing stocks we track reported a softer Q2. As a group, revenues missed analysts\\u2019 consensus estimates by 5.1% while next quarter\\u2019s revenue guidance was 6.7% below.\\n\\nInflation progressed towards the Fed\u0027s 2% goal recently, leading the Fed to reduce its policy rate by 50bps (half a percent or 0.5%) in September 2024. This is the first cut in four years. While CPI (inflation) readings have been supportive lately, employment measures have bordered on worrisome. The markets will be debating whether this rate cut\u0027s timing (and more potential ones in 2024 and 2025) is ideal for supporting the economy or a bit too late for a macro that has already cooled too much.\\n\\nAmidst this news, custom parts manufacturing stocks have had a rough stretch. On average, share prices are down 11.3% since the latest earnings results.\\n\\nBest Q2: Proto Labs (NYSE:PRLB)\\n\\nPioneering the concept of online quoting and manufacturing for custom prototypes and low-volume production parts, Proto Labs (NYSE:PRLB) offers injection molding, 3D printing, and sheet metal fabrication for manufacturers in various industries.\\n\\nProto Labs reported revenues of $125.6 million, up 2.8% year on year. This print was in line with analysts\\u2019 expectations, but overall, it was a decent quarter for the company with strong earnings guidance for the next quarter.\\n\\n\\\u0022We executed well through the first half of 2024 despite operating in a challenging macroeconomic environment,\\u201d said Rob Bodor, President and Chief Executive Officer. Proto Labs Total Revenue\\n\\nProto Labs pulled off the fastest revenue growth of the whole group. Even though it had a great quarter relative to its peers, the market seems discontent with the results. The stock is down 27.8% since reporting and currently trades at $1.95.\\n\\nRead our full report on Proto Labs here, it\\u2019s free.\\n\\nStory continues\\n\\nMarkforged (NYSE:MKFG)\\n\\nBeginning as a start-up at SolidWorks World\\u2013an annual design and engineering conference, Markforged (NYSE:MKFG) offers 3D printers and softwares to manufacturers of various industries.\\n\\nMarkforged reported revenues of $21.69 million, down 14.8% year on year, in line with analysts\\u2019 expectations. It was unfortunately a slower quarter with full-year revenue guidance missing analysts\\u2019 expectations. Markforged Total Revenue\\n\\nMarkforged pulled off the biggest analyst estimates beat and highest full-year guidance raise among its peers. Although it had a fine quarter compared its peers, the market seems unhappy with the results as the stock is down 27.8% since reporting. It currently trades at $1.95.\\n\\nIs now the time to buy Markforged? Access our full analysis of the earnings results here, it\\u2019s free.\\n\\nWeakest Q2: Desktop Metal (NYSE:DM)\\n\\nOriginating from a research lab at MIT, Desktop Metal (NYSE:DM) offers 3D printers, production materials, and software to many industries.\\n\\nDesktop Metal reported revenues of $38.93 million, down 26.9% year on year, falling short of analysts\\u2019 expectations by 14.4%. It was a disappointing quarter as it posted a miss of analysts\\u2019 earnings estimates.\\n\\nDesktop Metal delivered the weakest performance against analyst estimates and slowest revenue growth in the group. As expected, the stock is down 4.5% since the results and currently trades at $4.69.\\n\\nRead our full analysis of Desktop Metal\\u2019s results here.\\n\\nStratasys (NASDAQ:SSYS)\\n\\nBorn from the Founder\\u2019s idea of making a toy frog with a glue gun, Stratasys (NASDAQ:SSYS) offers 3D printers and related materials, software, and services to many industries.\\n\\nStratasys reported revenues of $138 million, down 13.6% year on year. This number came in 5.7% below analysts\u0027 expectations. Overall, it was a disappointing quarter as it also recorded full-year revenue guidance missing analysts\\u2019 expectations and underwhelming earnings guidance for the full year.\\n\\nStratasys had the weakest full-year guidance update among its peers. The stock is down 2.5% since reporting and currently trades at $7.49.\\n\\nRead our full, actionable report on Stratasys here, it\\u2019s free.\\n\\nJoin Paid Stock Investor Research\\n\\nHelp us make StockStory more helpful to investors like yourself. Join our paid user research session and receive a $50 Amazon gift card for your opinions. Sign up here.\\n\\nView comments\u0022,\u0022link\u0022:\u0022https:\\\/\\\/finance.yahoo.com\\\/news\\\/q2-earnings-recap-proto-labs-084727245.html\u0022,\u0022symbols\u0022:[\u0022DM.US\u0022,\u0022MKFG.US\u0022,\u0022PRLB.US\u0022,\u0022SCY.BE\u0022,\u0022SCY.STU\u0022,\u0022SSYS.US\u0022],\u0022tags\u0022:[],\u0022sentiment\u0022:{\u0022polarity\u0022:0.984,\u0022neg\u0022:0.071,\u0022neu\u0022:0.826,\u0022pos\u0022:0.103},\u0022time_elapsed_date\u0022:\u00221 week ago\u0022}],\u0022earningsHistoryNextPeriodDate\u0022:\u00222024-11-14\u0022,\u0022exception\u0022:null}"}]
 
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