
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 |
---|---|---|---|---|---|
COOP
Mr. Cooper Group
|
$672.5M | $3.23 | -16.4% | 6.57% | $148.14 |
BETR
Better Home & Finance Holding
|
-- | -- | -- | -- | -- |
ONIT
Onity Group
|
$257.4M | $2.05 | -5.24% | 62.59% | $49.25 |
PRA
ProAssurance
|
$265.8M | $0.21 | -5.65% | -16.88% | $22.67 |
RKT
Rocket Companies
|
$1.3B | $0.03 | 1.58% | 257.6% | $14.32 |
UWMC
UWM Holdings
|
$637.8M | $0.06 | 82.65% | 111.13% | $5.97 |
Company | Price | Analyst Target | Market Cap | P/E Ratio | Dividend per Share | Dividend Yield | Price / LTM Sales |
---|---|---|---|---|---|---|---|
COOP
Mr. Cooper Group
|
$146.64 | $148.14 | $9.4B | 16.66x | $0.00 | 0% | 3.15x |
BETR
Better Home & Finance Holding
|
$13.36 | -- | $203.1M | -- | $0.00 | 0% | 1.48x |
ONIT
Onity Group
|
$36.89 | $49.25 | $295.4M | 13.13x | $0.00 | 0% | 0.28x |
PRA
ProAssurance
|
$23.86 | $22.67 | $1.2B | 29.10x | $0.00 | 0% | 1.10x |
RKT
Rocket Companies
|
$13.60 | $14.32 | $2.1B | 72.81x | $0.80 | 0% | 3.18x |
UWMC
UWM Holdings
|
$4.21 | $5.97 | $848M | 50.88x | $0.10 | 9.5% | 1.98x |
Company | Total Debt / Total Capital | Beta | Debt to Equity | Quick Ratio |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
69.63% | 0.889 | 146.48% | 0.22x |
BETR
Better Home & Finance Holding
|
115.59% | 0.398 | 456.88% | 1.57x |
ONIT
Onity Group
|
96.63% | 0.501 | 4752.41% | 58.51x |
PRA
ProAssurance
|
25.57% | -1.943 | 35.38% | 31.16x |
RKT
Rocket Companies
|
90.06% | 1.195 | 53.91% | 0.15x |
UWMC
UWM Holdings
|
94.99% | 1.029 | 127.99% | 0.10x |
Company | Gross Profit | Operating Income | Return on Invested Capital | Return on Common Equity | EBIT Margin | Free Cash Flow |
---|---|---|---|---|---|---|
COOP
Mr. Cooper Group
|
$343M | $106M | 3.97% | 12.34% | 14.15% | $65M |
BETR
Better Home & Finance Holding
|
-$20.9M | -$50.2M | -29.01% | -554.5% | -144.34% | -$59.7M |
ONIT
Onity Group
|
$138.6M | $50.3M | 0.2% | 5.51% | 18.23% | -$246.5M |
PRA
ProAssurance
|
-- | -- | 2.63% | 3.58% | -0.44% | -$12M |
RKT
Rocket Companies
|
-- | -- | 0.02% | 0.03% | -12.09% | -$866.8M |
UWMC
UWM Holdings
|
-- | -- | -0.17% | -0.38% | -340.88% | $576.1M |
Better Home & Finance Holding has a net margin of 11.75% compared to Mr. Cooper Group's net margin of -145.3%. Mr. Cooper Group's return on equity of 12.34% beat Better Home & Finance Holding's return on equity of -554.5%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
COOP
Mr. Cooper Group
|
45.79% | $1.35 | $16.1B |
BETR
Better Home & Finance Holding
|
-60% | -$3.33 | $655.3M |
Mr. Cooper Group has a consensus price target of $148.14, signalling upside risk potential of 1.03%. On the other hand Better Home & Finance Holding has an analysts' consensus of -- which suggests that it could fall by --. Given that Mr. Cooper Group has higher upside potential than Better Home & Finance Holding, analysts believe Mr. Cooper Group is more attractive than Better Home & Finance Holding.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
COOP
Mr. Cooper Group
|
2 | 6 | 0 |
BETR
Better Home & Finance Holding
|
0 | 0 | 0 |
Mr. Cooper Group has a beta of 1.051, which suggesting that the stock is 5.058% more volatile than S&P 500. In comparison Better Home & Finance Holding has a beta of 0.000, suggesting its less volatile than the S&P 500 by 100%.
Mr. Cooper Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Better Home & Finance Holding offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Mr. Cooper Group pays -- of its earnings as a dividend. Better Home & Finance Holding pays out -- of its earnings as a dividend.
Mr. Cooper Group quarterly revenues are $749M, which are larger than Better Home & Finance Holding quarterly revenues of $34.8M. Mr. Cooper Group's net income of $88M is higher than Better Home & Finance Holding's net income of -$50.6M. Notably, Mr. Cooper Group's price-to-earnings ratio is 16.66x while Better Home & Finance Holding'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 Mr. Cooper Group is 3.15x versus 1.48x for Better Home & Finance Holding. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
3.15x | 16.66x | $749M | $88M |
BETR
Better Home & Finance Holding
|
1.48x | -- | $34.8M | -$50.6M |
Onity Group has a net margin of 11.75% compared to Mr. Cooper Group's net margin of 8.01%. Mr. Cooper Group's return on equity of 12.34% beat Onity Group's return on equity of 5.51%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
COOP
Mr. Cooper Group
|
45.79% | $1.35 | $16.1B |
ONIT
Onity Group
|
50.22% | $2.50 | $15.1B |
Mr. Cooper Group has a consensus price target of $148.14, signalling upside risk potential of 1.03%. On the other hand Onity Group has an analysts' consensus of $49.25 which suggests that it could grow by 33.51%. Given that Onity Group has higher upside potential than Mr. Cooper Group, analysts believe Onity Group is more attractive than Mr. Cooper Group.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
COOP
Mr. Cooper Group
|
2 | 6 | 0 |
ONIT
Onity Group
|
3 | 0 | 0 |
Mr. Cooper Group has a beta of 1.051, which suggesting that the stock is 5.058% more volatile than S&P 500. In comparison Onity Group has a beta of 1.647, suggesting its more volatile than the S&P 500 by 64.745%.
Mr. Cooper Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Onity Group offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Mr. Cooper Group pays -- of its earnings as a dividend. Onity Group pays out 1.48% of its earnings as a dividend. Onity Group's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.
Mr. Cooper Group quarterly revenues are $749M, which are larger than Onity Group quarterly revenues of $276M. Mr. Cooper Group's net income of $88M is higher than Onity Group's net income of $22.1M. Notably, Mr. Cooper Group's price-to-earnings ratio is 16.66x while Onity Group's PE ratio is 13.13x. 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 Mr. Cooper Group is 3.15x versus 0.28x for Onity Group. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
3.15x | 16.66x | $749M | $88M |
ONIT
Onity Group
|
0.28x | 13.13x | $276M | $22.1M |
ProAssurance has a net margin of 11.75% compared to Mr. Cooper Group's net margin of -2.17%. Mr. Cooper Group's return on equity of 12.34% beat ProAssurance's return on equity of 3.58%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
COOP
Mr. Cooper Group
|
45.79% | $1.35 | $16.1B |
PRA
ProAssurance
|
-- | -$0.11 | $1.7B |
Mr. Cooper Group has a consensus price target of $148.14, signalling upside risk potential of 1.03%. On the other hand ProAssurance has an analysts' consensus of $22.67 which suggests that it could fall by -5%. Given that Mr. Cooper Group has higher upside potential than ProAssurance, analysts believe Mr. Cooper Group is more attractive than ProAssurance.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
COOP
Mr. Cooper Group
|
2 | 6 | 0 |
PRA
ProAssurance
|
0 | 4 | 0 |
Mr. Cooper Group has a beta of 1.051, which suggesting that the stock is 5.058% more volatile than S&P 500. In comparison ProAssurance has a beta of 0.123, suggesting its less volatile than the S&P 500 by 87.671%.
Mr. Cooper Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. ProAssurance offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Mr. Cooper Group pays -- of its earnings as a dividend. ProAssurance pays out -- of its earnings as a dividend.
Mr. Cooper Group quarterly revenues are $749M, which are larger than ProAssurance quarterly revenues of $268.1M. Mr. Cooper Group's net income of $88M is higher than ProAssurance's net income of -$5.8M. Notably, Mr. Cooper Group's price-to-earnings ratio is 16.66x while ProAssurance's PE ratio is 29.10x. 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 Mr. Cooper Group is 3.15x versus 1.10x for ProAssurance. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
3.15x | 16.66x | $749M | $88M |
PRA
ProAssurance
|
1.10x | 29.10x | $268.1M | -$5.8M |
Rocket Companies has a net margin of 11.75% compared to Mr. Cooper Group's net margin of -1.04%. Mr. Cooper Group's return on equity of 12.34% beat Rocket Companies's return on equity of 0.03%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
COOP
Mr. Cooper Group
|
45.79% | $1.35 | $16.1B |
RKT
Rocket Companies
|
-- | -$0.08 | $13.9B |
Mr. Cooper Group has a consensus price target of $148.14, signalling upside risk potential of 1.03%. On the other hand Rocket Companies has an analysts' consensus of $14.32 which suggests that it could grow by 5.28%. Given that Rocket Companies has higher upside potential than Mr. Cooper Group, analysts believe Rocket Companies is more attractive than Mr. Cooper Group.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
COOP
Mr. Cooper Group
|
2 | 6 | 0 |
RKT
Rocket Companies
|
1 | 11 | 0 |
Mr. Cooper Group has a beta of 1.051, which suggesting that the stock is 5.058% more volatile than S&P 500. In comparison Rocket Companies has a beta of 0.000, suggesting its less volatile than the S&P 500 by 100%.
Mr. Cooper Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Rocket Companies offers a yield of 0% to investors and pays a quarterly dividend of $0.80 per share. Mr. Cooper Group pays -- of its earnings as a dividend. Rocket Companies pays out -- of its earnings as a dividend.
Mr. Cooper Group quarterly revenues are $749M, which are smaller than Rocket Companies quarterly revenues of $999M. Mr. Cooper Group's net income of $88M is higher than Rocket Companies's net income of -$10.4M. Notably, Mr. Cooper Group's price-to-earnings ratio is 16.66x while Rocket Companies's PE ratio is 72.81x. 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 Mr. Cooper Group is 3.15x versus 3.18x for Rocket Companies. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
3.15x | 16.66x | $749M | $88M |
RKT
Rocket Companies
|
3.18x | 72.81x | $999M | -$10.4M |
UWM Holdings has a net margin of 11.75% compared to Mr. Cooper Group's net margin of -33.21%. Mr. Cooper Group's return on equity of 12.34% beat UWM Holdings's return on equity of -0.38%.
Company | Gross Margin | Earnings Per Share | Invested Capital |
---|---|---|---|
COOP
Mr. Cooper Group
|
45.79% | $1.35 | $16.1B |
UWMC
UWM Holdings
|
-- | -$0.12 | $4.8B |
Mr. Cooper Group has a consensus price target of $148.14, signalling upside risk potential of 1.03%. On the other hand UWM Holdings has an analysts' consensus of $5.97 which suggests that it could grow by 41.86%. Given that UWM Holdings has higher upside potential than Mr. Cooper Group, analysts believe UWM Holdings is more attractive than Mr. Cooper Group.
Company | Buy Ratings | Hold Ratings | Sell Ratings |
---|---|---|---|
COOP
Mr. Cooper Group
|
2 | 6 | 0 |
UWMC
UWM Holdings
|
2 | 7 | 0 |
Mr. Cooper Group has a beta of 1.051, which suggesting that the stock is 5.058% more volatile than S&P 500. In comparison UWM Holdings has a beta of 1.687, suggesting its more volatile than the S&P 500 by 68.737%.
Mr. Cooper Group has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. UWM Holdings offers a yield of 9.5% to investors and pays a quarterly dividend of $0.10 per share. Mr. Cooper Group pays -- of its earnings as a dividend. UWM Holdings pays out 275.85% of its earnings as a dividend.
Mr. Cooper Group quarterly revenues are $749M, which are larger than UWM Holdings quarterly revenues of $41.2M. Mr. Cooper Group's net income of $88M is higher than UWM Holdings's net income of -$13.7M. Notably, Mr. Cooper Group's price-to-earnings ratio is 16.66x while UWM Holdings's PE ratio is 50.88x. 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 Mr. Cooper Group is 3.15x versus 1.98x for UWM Holdings. Usually stocks with elevated PS ratios are considered overvalued.
Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
---|---|---|---|---|
COOP
Mr. Cooper Group
|
3.15x | 16.66x | $749M | $88M |
UWMC
UWM Holdings
|
1.98x | 50.88x | $41.2M | -$13.7M |
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