
Will GoodRX Stock Bounce Back?
GoodRX (NASDAQ:GDRX) tracks prescription drug prices and its model was…
Company | Revenue Forecast | Earnings Forecast | Revenue Growth Forecast | Earnings Growth Forecast | Analyst Price Target Median |
---|---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- | -- |
BLD
TopBuild
|
$1.3B | $5.12 | -4.63% | 7.15% | $377.02 |
CIPI
Correlate Energy
|
-- | -- | -- | -- | -- |
PRKV
ParkVida Group
|
-- | -- | -- | -- | -- |
TPC
Tutor Perini
|
$1.3B | $0.34 | 12.31% | 1591.55% | $50.50 |
VATE
Innovate
|
-- | -- | -- | -- | -- |
Company | Price | Analyst Target | Market Cap | P/E Ratio | Dividend per Share | Dividend Yield | Price / LTM Sales |
---|---|---|---|---|---|---|---|
MRCR
Moro
|
$3.30 | -- | $20.6M | -- | $0.00 | 0% | -- |
BLD
TopBuild
|
$363.11 | $377.02 | $10.4B | 18.37x | $0.00 | 0% | 2.06x |
CIPI
Correlate Energy
|
$0.01 | -- | $1.1M | -- | $0.00 | 0% | 0.07x |
PRKV
ParkVida Group
|
$0.0060 | -- | $242.9K | -- | $0.00 | 0% | -- |
TPC
Tutor Perini
|
$50.77 | $50.50 | $2.7B | -- | $0.00 | 0% | 0.59x |
VATE
Innovate
|
$5.26 | -- | $69.9M | -- | $0.00 | 0% | 0.07x |
Company | Total Debt / Total Capital | Beta | Debt to Equity | Quick Ratio |
---|---|---|---|---|
MRCR
Moro
|
-- | 0.469 | -- | -- |
BLD
TopBuild
|
39.22% | 1.534 | 15.59% | 1.43x |
CIPI
Correlate Energy
|
-54.74% | 4.694 | 7.22% | 0.28x |
PRKV
ParkVida Group
|
-- | 4.454 | -- | -- |
TPC
Tutor Perini
|
25.9% | 4.581 | 32.47% | 1.18x |
VATE
Innovate
|
144.47% | 1.446 | 538.44% | 0.39x |
Company | Gross Profit | Operating Income | Return on Invested Capital | Return on Common Equity | EBIT Margin | Free Cash Flow |
---|---|---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- | -- | -- |
BLD
TopBuild
|
$351.5M | $177.5M | 16.09% | 25.79% | 14.8% | $139.2M |
CIPI
Correlate Energy
|
-$92.4K | -$1.7M | -80835.6% | -- | -44.75% | $559.7K |
PRKV
ParkVida Group
|
-- | -- | -- | -- | -- | -- |
TPC
Tutor Perini
|
$134.4M | $65.3M | -8.15% | -12.22% | 5.53% | -$7.2M |
VATE
Innovate
|
$45.5M | $3.4M | -8.03% | -- | 0.55% | -$18.8M |
TopBuild has a net margin of -- compared to Moro's net margin of 10.01%. Moro's return on equity of -- beat TopBuild's return on equity of 25.79%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
MRCR
Moro
|
-- | -- | -- |
BLD
TopBuild
|
28.5% | $4.23 | $3.5B |
Moro has a consensus price target of --, signalling downside risk potential of --. On the other hand TopBuild has an analysts' consensus of $377.02 which suggests that it could grow by 3.83%. Given that TopBuild has higher upside potential than Moro, analysts believe TopBuild is more attractive than Moro.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
MRCR
Moro
|
0 | 0 | 0 |
BLD
TopBuild
|
8 | 3 | 0 |
Moro has a beta of -0.027, which suggesting that the stock is 102.663% less volatile than S&P 500. In comparison TopBuild has a beta of 1.641, suggesting its more volatile than the S&P 500 by 64.078%.
Moro has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. TopBuild offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Moro pays -- of its earnings as a dividend. TopBuild pays out -- of its earnings as a dividend.
Moro quarterly revenues are --, which are smaller than TopBuild quarterly revenues of $1.2B. Moro's net income of -- is lower than TopBuild's net income of $123.4M. Notably, Moro's price-to-earnings ratio is -- while TopBuild's PE ratio is 18.37x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Moro is -- versus 2.06x for TopBuild. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- |
BLD
TopBuild
|
2.06x | 18.37x | $1.2B | $123.4M |
Correlate Energy has a net margin of -- compared to Moro's net margin of -50.54%. Moro's return on equity of -- beat Correlate Energy's return on equity of --.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
MRCR
Moro
|
-- | -- | -- |
CIPI
Correlate Energy
|
-2.04% | -$0.04 | -$3M |
Moro has a consensus price target of --, signalling downside risk potential of --. On the other hand Correlate Energy has an analysts' consensus of -- which suggests that it could fall by --. Given that Moro has higher upside potential than Correlate Energy, analysts believe Moro is more attractive than Correlate Energy.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
MRCR
Moro
|
0 | 0 | 0 |
CIPI
Correlate Energy
|
0 | 0 | 0 |
Moro has a beta of -0.027, which suggesting that the stock is 102.663% less volatile than S&P 500. In comparison Correlate Energy has a beta of 0.642, suggesting its less volatile than the S&P 500 by 35.804%.
Moro has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Correlate Energy offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Moro pays -- of its earnings as a dividend. Correlate Energy pays out -- of its earnings as a dividend.
Moro quarterly revenues are --, which are smaller than Correlate Energy quarterly revenues of $4.5M. Moro's net income of -- is lower than Correlate Energy's net income of -$2.3M. Notably, Moro's price-to-earnings ratio is -- while Correlate Energy's PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Moro is -- versus 0.07x for Correlate Energy. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- |
CIPI
Correlate Energy
|
0.07x | -- | $4.5M | -$2.3M |
ParkVida Group has a net margin of -- compared to Moro's net margin of --. Moro's return on equity of -- beat ParkVida Group's return on equity of --.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
MRCR
Moro
|
-- | -- | -- |
PRKV
ParkVida Group
|
-- | -- | -- |
Moro has a consensus price target of --, signalling downside risk potential of --. On the other hand ParkVida Group has an analysts' consensus of -- which suggests that it could fall by --. Given that Moro has higher upside potential than ParkVida Group, analysts believe Moro is more attractive than ParkVida Group.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
MRCR
Moro
|
0 | 0 | 0 |
PRKV
ParkVida Group
|
0 | 0 | 0 |
Moro has a beta of -0.027, which suggesting that the stock is 102.663% less volatile than S&P 500. In comparison ParkVida Group has a beta of -0.603, suggesting its less volatile than the S&P 500 by 160.277%.
Moro has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. ParkVida Group offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Moro pays -- of its earnings as a dividend. ParkVida Group pays out -- of its earnings as a dividend.
Moro quarterly revenues are --, which are smaller than ParkVida Group quarterly revenues of --. Moro's net income of -- is lower than ParkVida Group's net income of --. Notably, Moro's price-to-earnings ratio is -- while ParkVida Group's PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Moro is -- versus -- for ParkVida Group. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- |
PRKV
ParkVida Group
|
-- | -- | -- | -- |
Tutor Perini has a net margin of -- compared to Moro's net margin of 2.25%. Moro's return on equity of -- beat Tutor Perini's return on equity of -12.22%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
MRCR
Moro
|
-- | -- | -- |
TPC
Tutor Perini
|
10.78% | $0.53 | $1.6B |
Moro has a consensus price target of --, signalling downside risk potential of --. On the other hand Tutor Perini has an analysts' consensus of $50.50 which suggests that it could fall by -0.53%. Given that Tutor Perini has higher upside potential than Moro, analysts believe Tutor Perini is more attractive than Moro.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
MRCR
Moro
|
0 | 0 | 0 |
TPC
Tutor Perini
|
4 | 0 | 0 |
Moro has a beta of -0.027, which suggesting that the stock is 102.663% less volatile than S&P 500. In comparison Tutor Perini has a beta of 1.788, suggesting its more volatile than the S&P 500 by 78.756%.
Moro has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Tutor Perini offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Moro pays -- of its earnings as a dividend. Tutor Perini pays out -- of its earnings as a dividend.
Moro quarterly revenues are --, which are smaller than Tutor Perini quarterly revenues of $1.2B. Moro's net income of -- is lower than Tutor Perini's net income of $28M. Notably, Moro's price-to-earnings ratio is -- while Tutor Perini's PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Moro is -- versus 0.59x for Tutor Perini. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- |
TPC
Tutor Perini
|
0.59x | -- | $1.2B | $28M |
Innovate has a net margin of -- compared to Moro's net margin of -8.94%. Moro's return on equity of -- beat Innovate's return on equity of --.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
MRCR
Moro
|
-- | -- | -- |
VATE
Innovate
|
16.59% | -$1.89 | $478.4M |
Moro has a consensus price target of --, signalling downside risk potential of --. On the other hand Innovate has an analysts' consensus of -- which suggests that it could grow by 850.57%. Given that Innovate has higher upside potential than Moro, analysts believe Innovate is more attractive than Moro.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
MRCR
Moro
|
0 | 0 | 0 |
VATE
Innovate
|
0 | 0 | 0 |
Moro has a beta of -0.027, which suggesting that the stock is 102.663% less volatile than S&P 500. In comparison Innovate has a beta of 1.718, suggesting its more volatile than the S&P 500 by 71.801%.
Moro has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Innovate offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Moro pays -- of its earnings as a dividend. Innovate pays out -3.47% of its earnings as a dividend.
Moro quarterly revenues are --, which are smaller than Innovate quarterly revenues of $274.2M. Moro's net income of -- is lower than Innovate's net income of -$24.5M. Notably, Moro's price-to-earnings ratio is -- while Innovate's PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Moro is -- versus 0.07x for Innovate. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
MRCR
Moro
|
-- | -- | -- | -- |
VATE
Innovate
|
0.07x | -- | $274.2M | -$24.5M |
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