Dean Foods Company (NYSE:DF) Earnings & Valuation in Perspective
31 Mai, 2017, 10:53 | Author: Marc Bacque
The Value Composite One (VC1) is a method that investors use to determine a company's value. In general, a company with a score closer to 0 would be seen as undervalued, and a score closer to 100 would indicate an overvalued company. The Piotroski F-Score of Dean Foods Company (NYSE:DF) is 5. The F-Score may help discover companies with strengthening balance sheets. The score is also determined by change in gross margin and change in asset turnover.
The Piotroski F-Score is a scoring system between 1-9 that determines a firm's financial strength. A single point is assigned to each test that a stock passes. Investors typically pay increased attention to stocks that are nearing either the 52-week high or 52-week low mark.
Tyman plc has an M-score Beneish of -2.128080. The specifics of the variables and formula can be found in the Beneish paper "The Detection of Earnings Manipulation".
Ascential plc (LSE:ASCL) now has a Montier C-score of 5.00000. (NYSE:COTY). The name now has a score of 45.00000. The VC is displayed as a number between 1 and 100.
The Q.i. Value of Ascential plc (LSE:ASCL) is 39.00000. Using a scale from 0 to 100, a lower score would represent an undervalued company and a higher score would indicate an expensive or overvalued company. The MF is calculated using earnings yield and ROIC ratios. The objective of the Q.i. (NASDAQ:AIRT). The company has a current Value Composite Score of 48. A value of 0 would indicate that shares are now trading at the 52-week low.
Tyman plc (LSE:TYMN) has a current MF Rank of 3505. Developed by hedge fund manager Joel Greenblatt, the intention of the formula is to spot high quality companies that are trading at an attractive price. The formula uses ROIC and earnings yield ratios to find quality, undervalued stocks. A low current ratio (when the current liabilities are higher than the current assets) indicates that the company may have trouble paying their short term obligations. A company with a low rank is considered a good company to invest in. These ratios are price to earnings, price to cash flow, EBITDA to EV, price to book value, and price to sales. When looking at the ERP5 ranking, it is generally considered the lower the value, the better.
Watching some historical volatility numbers on shares of Finnair Oyj (HLSE:FIA1S), we can see that the 12 month volatility is presently 29.693900. The Volatility 3m is a similar percentage determined by the daily log normal returns and standard deviation of the share price over 3 months. Using the year-to-date time frame, this value is calculated by comparing the individual change in stock price to the price change of the S&P 500 index over that same period. Although past volatility action may help project future stock volatility, it may also be vastly different when taking into account other factors that may be driving price action during the measured time period.
Here we will take a look at the Gross Margin Score of New Gold Inc. Tyman plc (LSE:TYMN) presently has a 10 month price index of 1.16388. This is calculated by taking the current share price and dividing by the share price one month ago.
The Price Index is a ratio that indicates the return of a share price over a past period. A ratio lower than one shows that the price has decreased over that time period. Looking at some alternate time periods, the 12 month price index is 0.46689, the 24 month is 0.42464, and the 36 month is 0.43377. Narrowing in a bit closer, the 5 month price index is 0.92171, the 3 month is 0.88497, and the 1 month is now 1.01040.
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