The EV/EBITDA ratio is a valuation multiple and is often used in addition, or as an alternative, to the P/E ratio. A value greater than 1, in general, is not as good (overvalued to its growth rate). Projected EPS Growth looks at the estimated growth rate for one year. As a point of reference, over the last 10 years, the median sales growth for the stocks in the S&P 500 was 14%. A D/E ratio of 2 might be par for the course in one industry, while 0.50 would be considered normal for another. (Book value is defined as total assets minus liabilities, preferred stocks, and intangible assets.) Growth stocks can be more volatile than other types of stocks. SWI’s POWR Ratings are consistent with this bleak outlook. Learn about SWI (XNYS) with our data and independent analysis including price, star rating, valuation, dividends, and financials. This is also referred to as the cash yield. See rankings and related performance below. The (Q1) EPS Estimate Monthly Change calculates the percentage change in the consensus earnings estimate for the current quarter (Q1) over the last 4 weeks. When the order is filled, it triggers an OCO for your profit stop and stop-loss. Microsoft's (MSFT) Probe Detects Hackers' Access to Source Code, 3 Cybersecurity Stocks That May Give Double-Digit Returns in 2021, CyberArk (CYBR) Offers Free Breach Assessment for SolarWinds Customers, Zscaler (ZS) Unveils Security Program to Assess Cyberattacks, 3 Stocks to Watch as Cybersecurity Companies Rally on SolarWinds Hack. Zacks Rank Education -- Learn more about the Zacks Rank It allows the user to better focus on the stocks that are the best fit for his or her personal trading style. Zacks Rank stock-rating system returns are computed monthly based on the beginning of the month and end of the month Zacks Rank stock prices plus any dividends received during that particular month. ZacksTrade and Zacks.com are separate companies. If you do not, click Cancel. The analyzed items go beyond simple trend analysis. A P/B of 2 means it's selling at 2 times its book value. The 20 Day Average Volume is the average daily trading volume over the last 20 trading days. The 4 week price change is a good reference point for the individual stock and how it's performed in relation to its peers. * indicates the important links in the menu, Pre-Market: Others will look for a pullback on the week as a good entry point, assuming the longer-term price changes (4 week, 12 weeks, etc.) Researching stocks has never been so easy or insightful as with the ZER Analyst and Snapshot reports. Finally, AQR Capital Management LLC lifted its holdings in SolarWinds by 1,659.8% in the second quarter. If a stock's Q1 estimate revision decreases leading up to its earnings release, that's usually a negative sign, whereas an increase is typically a positive sign. The 1 week price change reflects the collective buying and selling sentiment over the short-term. Learn more. Also, insider Usa Investors Venture I. Hermes sold 57,813 shares of the business's stock in a transaction that occurred on Thursday, December 10th. View the "7 Stocks It May Be Time To Take Profits On". The Price to Cash Flow ratio or P/CF is price divided by its cash flow per share. The industry with the worst average Zacks Rank (265 out of 265) would place in the bottom 1%. This page has not been authorized, sponsored, or otherwise approved or endorsed by the companies represented herein. A ratio of 1 means a company's assets are equal to its liabilities. A "hold" rating indicates that analysts believe investors should keep any existing positions they have in SWI, but not buy more shares or sell existing shares. Many investors are wondering if it’s time to take some profit. 1.60% of the stock is owned by company insiders. Volume is a useful item in many ways. Current Cash Flow Growth measures the percent change in the year over year Cash Flow. The ever popular one-page Snapshot reports are generated for virtually every single Zacks Ranked stock. The stock has a year-to-date price return of -18.06% along with a three-month price return of -25.27%. This allows the investor to be as broad or as specific as they want to be when selecting stocks. Apple Stock: Buy, Sell, or Hold After Soaring 81% in 2020? When evaluating a stock, it can be useful to compare it to its industry as a point of reference. A rising stock on above average volume is typically a bullish sign whereas a declining stock on above average volume is typically bearish. If a stock's EPS consensus estimate is $1.10 now vs. $1.00 the week before, that will be reflected as a 10% change. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B in your personal trading style. Whether you’re looking for analyst ratings, corporate buybacks, dividends, earnings, economic reports, financials, insider trades, IPOs, SEC filings or stock splits, MarketBeat has the objective information you need to analyze any stock. Regardless of the many ways investors use this item, whether looking at a stock's price change, an index's return, or a portfolio manager's performance, this time-frame is a common judging metric in the financial industry. To learn more, click here. +0.07 (0.46%) As they say, 'price follows volume'. The VGM Score are a complementary set of indicators to use alongside the Zacks Rank. NYSE:SWI Insider Trading Volume November 19th 2020. Zacks Sector Rank Education - Learn more about the Zacks Sector Rank. While earnings are the driving metric behind stock prices, there wouldn't be any earnings to calculate if there weren't any sales to begin with. Growth Style - Learn more about the Growth Style. The change is made all the more important the closer proximity it is to the stock's earnings date since it is generally believed that the most recent estimates are the most accurate since it's using the most up-to-date information leading up to the report. If a company's net margin is 15%, for example, that means its net income (or profit) is 15 cents for every $1 of sales the company makes. Hottest Technology Stocks Now – KN CLGX HPQ SWI By Portfolio Grader Jul 1, 2015 This instant news alert was generated by narrative science technology and financial data from MarketBeat in order to provide readers with the fastest and most accurate reporting. SolarWinds has a 1-year low of $11.50 and a 1-year high of $24.34. The (F1) EPS Estimate Monthly Change calculates the percentage change in the consensus earnings estimate for the current year (F1) over the last 4 weeks. SWI has a roughly average overall score of 39 meaning the stock holds a better value than 39% of stocks at its current price. A ratio of 2 means its assets are twice that of its liabilities. SolarWinds Corporation (NYSE: SWI) is -13.10% lower on its value in year-to-date trading and has touched a low of $11.50 and a high of $24.34 in the current 52-week trading range. The 12 Week Price Change displays the percentage price change over the most recently completed 12 weeks (60 days). But they all have their place in the Growth style. Information is provided 'as-is' and solely for informational purposes, not for trading purposes or advice, and is delayed. In general, the lower the ratio is the better. The Zacks Equity Research reports, or ZER for short, are our in-house, independently produced research reports. Cash Flow per share ($/share) calculates the amount of incoming cash vs. the amount of outgoing cash for a company. This includes measuring aspects of the Income Statement, Statement of Cash Flows, the Balance Sheet, and more. The web link between the two companies is not a solicitation or offer to invest in a particular security or type of security. Visit performance for information about the performance numbers displayed above. A change in margin can reflect either a change in business conditions, or a company's cost controls, or both. The disclosure for this sale can be found here. SolarWinds had a return on equity of 9.33% and a net margin of 3.12%. SolarWinds (NYSE:SWI) last posted its quarterly earnings data on Tuesday, October 27th. View the real-time SWI price chart on Robinhood and decide if you want to buy or sell commission-free. The respective items are ranked and graded into five groups: A, B, C, D and F. An A is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F. As an investor, you want to buy stocks with the highest probability of success. Zacks Ranks stocks can, and often do, change throughout the month. A stop-loss … Within each Score, stocks are graded into five groups: A, B, C, D and F. As you might remember from your school days, an A, is better than a B; a B is better than a C; a C is better than a D; and a D is better than an F. As an investor, you want to buy stocks with the highest probability of success. Please send any questions or comments about this story to [email protected], 7 Stocks It May Be Time To Take Profits On. Change the date range, see whether others are buying or selling, read news, get earnings results, and compare SolarWinds against related stocks people have also bought. The detailed multi-page Analyst report does an even deeper dive on the company's vital statistics. The 52 week price change is a good reference point. Moreover, when comparing stocks in different industries, it can become even more important to look at the relative measures, since different stocks in different industries have different values that are considered normal. Since bonds and stocks compete for investors' dollars, a higher yield typically needs to be paid to the stock investor for the extra risk being assumed vs. the virtual risk-free investment offered in U.S.-backed Treasuries. The (F1) EPS Estimate Weekly Change calculates the percentage change in the consensus earnings estimate for the current year (F1) over the last week. The idea is that more recent information is, generally speaking, more accurate and can be a better predictor of the future, which can give investors an advantage in earnings season. MarketBeat empowers individual investors to make better trading decisions by providing real-time financial data and objective market analysis. Note; companies will typically sell for more than their book value in much the same way that a company will sell at a multiple of its earnings. The stock was sold at an average price of $22.47, for a total transaction of $1,286,429.97. ... SWI $15.35 up $0.67 (4.56%) ... Do Not Sell … Our testing substantiates this with the optimum range for price performance between 0-20. And margin rates can vary significantly across these different groups. Complete the form below to receive the latest headlines and analysts' recommendations for your stocks with our free daily email newsletter: View the latest news, buy/sell ratings, SEC filings and insider transactions for your stocks. It is the most commonly used metric for determining a company's value relative to its earnings. ROE values, like other values, can vary significantly from one industry to another. Zurcher Kantonalbank Zurich Cantonalbank now owns 76,136 shares of the software maker's stock valued at $1,549,000 after acquiring an additional 2,579 shares during the last quarter. The gurus may buy and sell securities before and after any particular article and report and information herein is published, with respect to the securities discussed in any article and report posted herein. When comparing this ratio to different stocks in different industries, take note that some businesses are more capital intensive than others. Export data to Excel for your own analysis. A higher number is better than a lower one as it shows how effective a company is at generating revenue from its assets. The tested combination of price performance, and earnings momentum (both actual and estimate revisions), creates a powerful timeliness indicator to help you identify stocks on the move so you know when to get in and when to get out. The Momentum Score takes all of this and more into account. And like the P/E ratio, a lower number is typically considered 'better' than a higher number. For example, a regional bank would be classified in the Finance Sector. The sector with the worst average Zacks Rank (16 out of 16) would place in the bottom 1%. Looking for new stock ideas? 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Pre-market tends to be more volatile due to significantly lower volume as most investors only trade between standard trading hours. The consensus among Wall Street equities research analysts is that investors should "buy" Smith & Wesson Brands stock. But when compared to its growth rate, it does't have the earnings growth to justify its P/E. Others look for those that have lagged the market, believing those are the ones ripe for the biggest increases to come. Bank of America Corp DE now owns 61,001 shares of the software maker's stock valued at $1,078,000 after acquiring an additional 17,486 shares during the last quarter. The brokerage presently has an "underweight" rating on the software maker's stock. This includes personalizing content and advertising. This measure is expressed as a percentage. That means you want to buy stocks with a Zacks Rank #1 or #2, Strong Buy or Buy, which also has a Score of an A or a B. 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