NASDAQ:CONN - Conn's, Inc.
$9.17
 $-0.47
-4.83%
4:00PM EDT
2020-01-24
Conn's, Inc. (Conn's), incorporated on January 15, 2003, is a specialty retailer that offers a selection of consumer goods and related services in addition to a credit solution for its core credit constrained consumers. The Company operates through two segments: retail and credit. Its product offerings include furniture and mattresses, home appliances, consumer electronics and home office products. Its credit offering provides financing solutions to credit constrained consumers having limited banking options. It operates in approximately nine regional distribution centers located in Houston, San Antonio, Dallas, Beaumont, El Paso and McAllen, Texas; Phoenix, Arizona; Denver, Colorado and Charlotte, North Carolina; over 10 smaller cross-dock facilities, and approximately 20 stores with cross-dock facilities. The Company operates its business through its retail stores and Website.RetailThe Company operates approximately 100 retail stores located in over 10 states. Its primary retail product categories include Furniture and mattress, including furniture and related accessories for the living room, dining room and bedroom, as well as both traditional and specialty mattresses, and offers such brands as Franklin, Catnapper, Serta, Sealy and Tempur-Pedic; Home appliance, including refrigerators, freezers, washers, dryers, dishwashers and ranges, and offers such brands as Samsung, LG, General Electric and Frigidaire; Consumer electronics, including liquid-crystal-display (LED), organic LED (OLED), Ultra high definition (HD) and Internet-ready televisions, Blu-ray players, home theater and portable audio equipment, and offers such brands as Samsung, LG, Sharp, Sony, Haier, Monster, Sanus and Bose, and Home office, including computers, printers and accessories, and offers such brands as HP, Samsung, LG and Dell. Read more at  reuters.com
sector:  consumer durables
industry:  computer electronics retail
the data below are updated and published after 9pm EDT each trading day
  CONN     avg for
industry  
  avg for
sector  
42 stocks weight:  159. 31   368. 92   382. 64  
42 stocks rank:  2. 21 K 556. 57   959. 48  
# analyst opinions:  5. 00   23. 62   17. 02  
mean recommendation:  2. 00   2. 60   2. 06  

quick ratio:  3. 48   0. 28   0. 73  
current ratio:  4. 92   1. 09   1. 57  

target price low:  15. 00   59. 78   165. 95  
target price avg:  22. 50   86. 16   224. 09  
target price high:  12. 73   100. 86   276. 54  
1-yr high:  27. 57   90. 20   237. 65  
last close:  9. 63   87. 91   227. 22  
50-day avg:  15. 51   82. 09   207. 49  
200-day avg:  20. 42   71. 89   191. 35  
1-yr low:  8. 99   56. 58   145. 65  
volume:  1. 53 M 1. 23 M 6. 30 M
50-day avg volume:  1. 20 M 2. 72 M 4. 54 M
200-day avg volume:  660. 33 K 2. 64 M 4. 21 M

1-day return:  -3. 17 % 0. 58 % 1. 27 %
this week return:  -8. 37 % 0. 86 % 2. 10 %
12-wk return:  -61. 05 % 21. 71 % 11. 65 %
52-wk return:  -47. 98 % 48. 80 % 30. 35 %

enterprise value (EV):  1. 58 B 25. 45 B 127. 87 B
market cap:  263. 16 M 23. 69 B 1. 56 T
EBITDA:  151. 20 M 2. 86 B 5. 04 B
enterprise multiple (EV/EBITDA):  10. 48   8. 89   17. 95  
enterprise/revenue (EV/R):  1. 01   0. 60   -1. 04  
total revenue:  1. 57 B 42. 35 B 37. 88 B
total debt:  1. 33 B 4. 03 B 17. 90 B
debt/equity:  210. 42   132. 70   462. 41  
net income (common):  84. 10 M 1. 49 B 2. 71 B

shares outstanding:  28. 70 M 253. 90 M 820. 76 M
shares:  19. 98 M 225. 53 M 795. 44 M
shares short:  6. 69 M 8. 30 M 12. 87 M
shares short prior month:  5. 31 M 10. 95 M 12. 76 M
short ratio:  3. 79   3. 01   4. 03  
short % of float:  40. 86 % 5. 44 % 4. 10 %
total cash/share:  0. 16   5. 06   8. 15  
total cash:  4. 67 M 1. 30 B 2. 74 B
free cash flow:  9. 18 M 1. 18 B 3. 25 B
operating cash flow:  62. 24 M 2. 19 B 3. 55 B

book value:  21. 81   12. 09   35. 31  
price/book:  0. 44   7. 31   -42. 54  
gross profits:  434. 19 M 9. 76 B 959. 25 B
operating margins:  7. 39 % 4. 83 % 12. 48 %
EBITDA margins:  9. 66 % 6. 73 % 13. 01 %
profit margins:  5. 37 % 3. 41 % 6. 59 %
gross margins:  29. 29 % 23. 47 % 27. 50 %

1-yr max volatility:  33. 22 % --- ---
1-yr mean volatility:  2. 24 % 1. 35 % 1. 14 %

1-yr EPS:  2. 65   5. 47   9. 39  
forward EPS:  2. 04   6. 11   10. 45  
P/E:  3. 64   15. 53   14. 64  
forward P/E:  4. 50   14. 26   23. 62  
PE/G:  -0. 07   0. 30   0. 77  
growth:  -54. 25 % 48. 42 % 24. 98 %
earnings high:  0. 38   2. 86   2. 06  
earnings avg:  0. 34   2. 70   1. 89  
earnings low:  0. 28   2. 65   1. 73  
revenue high:  415. 70 M 14. 87 B 11. 32 B
revenue avg:  412. 27 M 14. 74 B 10. 87 B
revenue low:  408. 50 M 14. 54 B 10. 57 B
earnings growth:  13. 30 % 10. 99 % 60. 44 %
1-qtr earnings growth:  3. 50 % 5. 70 % 56. 28 %
return on assets:  3. 62 % 8. 08 % 7. 73 %
return on equity:  13. 82 % 48. 06 % 1596. 47 %
revenue growth:  1. 00 % 1. 46 % 5. 69 %
revenue/share:  50. 43   159. 71   89. 85  

beta (1yr vs S&P500):  1. 48   1. 29   0. 90  
sharpe (1yr):  -0. 83   1. 43   2. 24  

held % insiders:  67. 59 % 15. 23 % 4. 41 %
held % institutions:  72. 64 % 81. 88 % 55. 85 %

Research more with google or yahoo!
The data below are updated and re-published
at 9pm EDT after each trading day.

2020-01-24 : CONN
.    204.149 =  204.149 :: INIT WEIGHT
.     --> FUNDAMENTALS <--
.    x 2.003 =  408.9   :: P/E
.    x 1.964 =  803.3   :: PE/G
.    x 1.524 =    1.2 K :: beta
.    x 0.976 =    1.2 K :: sharpe
.    x 0.899 =    1.1 K :: current ratio
.    x 0.916 =  984.3   :: quick ratio
.    x 1.156 =    1.1 K :: short ratio
.    x 1.053 =    1.2 K :: return on assets
.    x 1.168 =    1.4 K :: return on equity
.    x 1.164 =    1.6 K :: earnings growth
.    x 1.006 =    1.6 K :: revenue growth
.    x 0.943 =    1.5 K :: EV/R
.    x 1.002 =    1.5 K :: price-to-book
.    x 0.907 =    1.4 K :: EV/EBITDA
.    x 0.979 =    1.4 K :: EV vs industry
.    x 1.108 =    1.5 K :: debt-to-revenue
.    x 0.948 =    1.4 K :: debt-to-equity
.      --> PERFORMANCE <--
.    x 3.789 =    5.5 K :: sec+ind 1yr gains
.    x 1.217 =    6.6 K :: ind 12wk return
.    x 1.309 =    8.7 K :: ind 2wk return
.    x 0.931 =    8.1 K :: 1yr gains+div
.    x 0.869 =    7.0 K :: 13wk performance
.    x 4.721 =   33.2 K :: overall "drift"
.    x 0.772 =   25.7 K :: largest delta
.     x 3.42 =   87.7 K :: volatility
.    x 3.015 =  264.5 K :: 42-day volatility
.    x 8.778 =    2.3 M :: notable (3)
.    x 2.631 =    6.1 M :: inverse vol/price
.      --> PROJECTIONS <--
.    x 1.185 =    7.2 M :: fwd EPS
.    x 1.398 =   10.1 M :: fwd P/E
.    x 1.109 =   11.2 M :: ind recommendation
.     x 2.16 =   24.2 M :: recommendation
.      x 1.3 =   31.5 M :: ind hist wk 4
.   x 10.808 =  340.5 M :: spline projection
.     --> FINAL ADJUST <--
.  quad root =  135.845 :: make readable
.   + 23.465 =  159.311 :: +/- sentiment
.     --> FINAL WEIGHT <--
.               159.311 :: FINAL WEIGHT CONN


 


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