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← CLF Overview

CLF

Comprehensive rating breakdown across 5 fundamental factors + Stonvex quant engine.

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Stonvex Quant Grades

Our proprietary 6-factor scoring engine: Volume, Volatility, News, Sentiment, Dollar Flow, Relative Strength.

Quant grades are available for tickers in our scored universe.

The information above is for educational and informational purposes only and does not constitute investment advice, a recommendation, or an offer to buy or sell any security. Rankings and scores are computed by Stonvex's proprietary algorithm and are not endorsed by any financial institution. Past performance does not guarantee future results. Always consult a licensed financial advisor before making investment decisions.

Stonvex

AI-powered stock research for US equities.

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This site is for informational purposes only. Not investment advice. Past performance does not guarantee future results.

Factor Grades

Each factor is graded A+ to F based on underlying metrics compared to typical market ranges. Valuation favors lower multiples, Growth and Profitability favor higher figures, Momentum reflects price performance, and Financial Health measures balance sheet strength.

Analyst Consensus

All Fundamentals

Analyst Consensus

Sell
Based on 22 analysts
Period: 2026-04-01
2 Buy (9%)13 Hold (59%)7 Sell (32%)
Rating Distribution
Strong Buy
0
Buy
2
Hold
13
Sell
6
Strong Sell
1
Trend
2026-04
2/13/7
2026-03
6/11/2
2026-02
7/10/2
2026-01
7/10/2
C-

Overall Factor Grade

Composite of 5 factors · Score: 42/100

A-
Valuation
C+
Growth
F
Profitability
D
Momentum
D-
Financial Health

Valuation

Compares price multiples to typical market ranges

A-
87/100
P/E (TTM)—
P/S (TTM)0.29
P/B1.24
P/FCF3.66

Growth

Revenue and earnings momentum over multiple horizons

C+
55/100
Revenue YoY-3.00%
EPS YoY—
Revenue 5Y28.30%
EPS 5Y—

Profitability

How efficiently the company converts revenue to profit

F
15/100
Gross Margin-4.58%
Op Margin-8.50%
Net Margin-7.91%
ROE-24.89%
ROA-7.21%

Momentum

Short to long-term price performance trends

D
30/100
YTD Return-29.67%
3M Return-23.82%
6M Return-26.11%
1Y Return28.30%

Financial Health

Balance sheet strength and ability to service debt

D-
25/100
Current Ratio—
Quick Ratio0.50
Debt/Equity—
Interest Cov-2.14

Fundamentals

Valuation
Market Cap
$5.33B
P/E (TTM)
—S&P avg ~22
P/S (TTM)
0.29S&P avg ~2.8
P/B
1.24S&P avg ~4.5
P/FCF
3.66S&P avg ~26
EPS (TTM)
$-2.93
Book/sh
$10.73
Cash/sh
$0.10
Profitability
Gross Margin
-4.58%avg ~45%
Operating Margin
-8.50%avg ~15%
Net Margin
-7.91%avg ~12%
ROE
-24.89%avg ~18%
ROA
-7.21%avg ~7%
ROI
-10.77%
Payout Ratio
—
FCF/sh
—
Growth & Health
Rev Growth YoY
-3.00%
Rev Growth 5Y
28.30%
EPS Growth YoY
—
EPS Growth 5Y
—
Current Ratio
—
Quick Ratio
0.50
Debt/Equity
—
LT Debt/Eq
—
Trading & Dividends
Beta
2.01
52W High
$16.70
52W Low
$5.63
Avg Vol (10D)
13.67M
Avg Vol (3M)
16.80M
Div Yield
—
Div/sh (TTM)
—
Analyst
Sell (22)
Price Performance
5D+7.23%
MTD+10.53%
3M-23.82%
6M-26.11%
YTD-29.67%
1Y+28.30%