Week 36 Intrinsic Value Summary (2023)

Weekly Intrinsic Values

Ticker Company
——————–
Industry
Margin of Safety Intrinsic Value Stock
Price
Stock Price / Margin of Safety Intrinsic Value P/E
———-
3Yr Avg
Profit Margin
52wk Lo
———-
% Off
52wk Hi
Growth
Grade*
———-
Long Term Debt/FCF
Major
Index
———-
10yr Dividend
Change
Market
Cap
———-
10yr Share Count
Change
RMAX RE/MAX HOLDINGS, INC.
——————–
Real Estate Management & Development
19.51 16.40 0.84
———-
0.0%
16.11
———-
32.45%
F
———-
7.25
S&P600
———-
N/A
$293.66M
———-
54.00%
TOWN TOWNE BANK
——————–
Banks
27.34 24.25 0.89 9.80
———-
27.0%
21.22
———-
27.45%
F
———-
0.76
N/A
———-
134.00%
$1.82B
———-
120.00%
BSBR BANCO SANTANDER BRASIL SA
——————–
Banks
5.90 5.50 0.93 9.18
———-
35.0%
4.76
———-
17.11%
F
———-
21.58
N/A
———-
56.00%
$20.79B
———-
-2.00%
SLG SL GREEN REALTY CORP.
——————–
Equity Real Estate Investment Trusts (REITs)
41.04 39.11 0.95 8.43
———-
27.0%
19.06
———-
21.51%
F
———-
18.36
S&P400
———-
134.00%
$2.52B
———-
-27.00%
FUNC FIRST UNITED CORPORATION
——————–
Banks
17.36 16.55 0.95 4.78
———-
27.0%
12.56
———-
20.96%
D
———-
1.43
N/A
———-
N/A
$111.07M
———-
7.00%
HSBC HSBC HOLDINGS PLC
——————–
Banks
38.39 37.55 0.98 6.30
———-
18.0%
24.77
———-
11.57%
F
———-
8.12
N/A
———-
-44.00%
$146.5B
———-
7.00%
FOXA FOX CORPORATION
——————–
Media
30.06 30.98 1.03 14.32
———-
11.2%
28.02
———-
16.85%
F
———-
4.13
S&P500
———-
N/A
$15.58B
———-
-14.35%
AMAL AMALGAMATED BANK
——————–
Banks
16.93 18.26 1.08 6.11
———-
26.0%
14.05
———-
33.19%
C+
———-
4.80
N/A
———-
N/A
$559.07M
———-
-2.00%
EBIX EBIX, INC.
——————–
Software
12.56 16.33 1.30 15.36
———-
9.0%
11.75
———-
50.32%
F
———-
0.00
S&P600
———-
300.00%
$504.62M
———-
-20.00%
HBT HBT FINANCIAL, INC
——————–
Banks
14.25 19.18 1.35 10.01
———-
30.0%
16.33
———-
18.35%
D+!
———-
3.31
N/A
———-
N/A
$610.81M
———-
10.00%
BAM BROOKFIELD CORPORATION
——————–
Capital Markets
25.24 34.68 1.37 365.79
———-
47.1%
28.25
———-
17.25%
U
———-
0.00
N/A
———-
N/A
$56.81B
———-
-0.45%
CAG CONAGRA BRANDS, INC.
——————–
Food Products
19.63 29.32 1.49 20.99
———-
8.3%
29.27
———-
29.01%
F
———-
11.13
S&P500
———-
32.00%
$14.01B
———-
12.44%
ASIX ADVANSIX INC.
——————–
Chemicals
20.48 33.88 1.65 8.46
———-
7.0%
30.69
———-
23.98%
B!
———-
0.62
S&P600
———-
N/A
$921.98M
———-
-7.00%
DRI DARDEN RESTAURANTS, INC.
——————–
Hotels, Restaurants & Leisure
86.46 155.56 1.80 19.41
———-
9.3%
120.20
———-
10.11%
C!
———-
0.88
S&P500
———-
120.00%
$18.8B
———-
-7.73%
UL UNILEVER PLC
——————–
Personal Products
27.61 50.70 1.84 14.37
———-
12.0%
42.44
———-
9.45%
D+!
———-
3.69
N/A
———-
26.00%
$128.5B
———-
-12.00%
MCK MCKESSON CORPORATION
——————–
Health Care Providers & Services
213.62 412.34 1.93 15.37
———-
-0.1%
331.75
———-
6.50%
D
———-
0.97
S&P500
———-
127.17%
$55.63B
———-
-38.97%
GBOOY GRUPO FINANCIERO BANORTE SAB DE CV
——————–
Banks
21.52 42.58 1.98
———-
23.0%
28.60
———-
10.61%
C!
———-
1.91
N/A
———-
1272.00%

———-
14.00%
PRFT PERFICIENT, INC.
——————–
IT Services
30.94 62.87 2.03 22.30
———-
8.0%
58.00
———-
35.14%
C+
———-
3.62
S&P600
———-
N/A
$2.19B
———-
15.00%
CNS COHEN & STEERS, INC.
——————–
Capital Markets
29.94 65.42 2.19 22.32
———-
28.0%
52.34
———-
17.05%
D+!
———-
0.00
N/A
———-
175.00%
$3.21B
———-
9.00%
NYMT NEW YORK MORTGAGE TRUST, INC.
——————–
Mortgage Real Estate Investment Trusts (REITs)
4.28 9.57 2.24 63.44
———-
-939.0%
8.28
———-
26.16%
F
———-
28.85
S&P600
———-
-63.00%
$873.27M
———-
538.00%
JBGS JBG SMITH PROPERTIES
——————–
Equity Real Estate Investment Trusts (REITs)
6.98 15.98 2.29 16.64
———-
-3.0%
13.37
———-
29.63%
F
———-
13.69
S&P400
———-
N/A
$1.65B
———-
0.00%
ESCA ESCALADE, INCORPORATED
——————–
Leisure Products
6.41 14.95 2.33 24.81
———-
7.7%
9.25
———-
9.34%
F
———-
13.60
N/A
———-
76.47%
$205.37M
———-
0.43%
FLO FLOWERS FOODS, INC.
——————–
Food Products
9.50 23.04 2.43 22.46
———-
4.0%
23.02
———-
23.61%
F
———-
4.47
S&P400
———-
114.00%
$4.87B
———-
1.00%
BP BP P.L.C.
——————–
Oil, Gas & Consumable Fuels
14.12 38.13 2.70 5.54
———-
-5.1%
27.21
———-
7.85%
F
———-
1.48
N/A
———-
-37.17%
$109.28B
———-
-0.31%
CTAS CINTAS CORPORATION
——————–
Commercial Services & Supplies
186.68 505.26 2.71 38.83
———-
15.5%
370.93
———-
2.59%
C+!
———-
1.96
S&P500
———-
497.40%
$51.41B
———-
-15.01%
TWNK HOSTESS BRANDS, INC.
——————–
Food Products
8.28 28.33 3.42 22.77
———-
11.0%
21.59
———-
2.31%
D-
———-
7.72
S&P600
———-
N/A
$3.76B
———-
1371.00%
SKX SKECHERS U.S.A., INC.
——————–
Textiles, Apparel & Luxury Goods
13.95 51.56 3.70 16.61
———-
6.0%
31.28
———-
8.79%
D-
———-
-1.79
S&P400
———-
N/A
$7.98B
———-
3.00%
KOP KOPPERS HOLDINGS INC.
——————–
Chemicals
9.73 39.90 4.10 9.82
———-
5.0%
20.11
———-
0.32%
F
———-
-272.57
S&P600
———-
-80.00%
$832.8M
———-
2.00%
NUVA NUVASIVE, INC.
——————–
Health Care Equipment & Supplies
9.05 39.75 4.39 95.40
———-
-1.9%
35.17
———-
19.75%
F
———-
14.86
S&P600
———-
N/A
$2.08B
———-
22.60%
LW LAMB WESTON HOLDINGS, INC.
——————–
Food Products
22.08 97.28 4.41 14.06
———-
10.8%
74.91
———-
17.13%
C+!
———-
30.16
S&P500
———-
N/A
$14.18B
———-
-0.82%
ACHC ACADIA HEALTHCARE COMPANY, INC.
——————–
Health Care Providers & Services
17.48 77.50 4.43 26.07
———-
-4.0%
66.87
———-
13.75%
F
———-
14.91
S&P400
———-
N/A
$7.14B
———-
82.00%
UMH UMH PROPERTIES, INC.
——————–
Equity Real Estate Investment Trusts (REITs)
3.35 14.95 4.46
———-
9.4%
13.73
———-
20.82%
F
———-
-95.41
N/A
———-
11.11%
$975.78M
———-
189.46%
MAT MATTEL, INC.
——————–
Leisure Products
4.97 22.32 4.49 35.41
———-
8.8%
15.36
———-
7.77%
F
———-
9.07
S&P400
———-
-100.00%
$7.9B
———-
3.50%
DK DELEK US HOLDINGS, INC.
——————–
Oil, Gas & Consumable Fuels
4.54 26.97 5.94 6.43
———-
-2.8%
19.39
———-
23.92%
F
———-
25.88
N/A
———-
-25.45%
$1.75B
———-
19.10%
VC VISTEON CORPORATION
——————–
Auto Components
24.24 144.30 5.95 30.16
———-
0.9%
103.46
———-
15.94%
F
———-
3.91
S&P400
———-
N/A
$4.07B
———-
-44.23%

*Growth Grade is an indicator of a company’s growth potential, refer to the Terminology page for a full description.
___________________________
10Yr Dividend Change is the percent change in the total annual dividend during this time. Example:
10Yrs Ago Dividend = 1.25; Current Dividend = 4.20; then
Percent Change = (4.20-1.25)/1.25*100 = 236%
A -100% (negative 100%) indicates the company stopped paying a dividend
‘N/A’ indicates the company has not been paying a dividend
For companies that pay a dividend this should be increasing over time, but companies in their growth phase will likely not pay a dividend
___________________________
10Yr Share Count Change is the change in total outstanding shares during the period
Outstanding share count should be decreasing over time for a company that’s financially stable and past its growth phase
___________________________
Long Term Debt/FCF is a measurement to determine if the company’s long-term debt is within a reasonable amount, less than 3 is an ideal number
Value of zero means the company has no long term debt
A negative value means the company has long term debt but had negative FCF
___________________________
3yr Avg Profit Margin measures the average percentage of income to the revenue (100 * Net Income/Revenue) over the past 3 years
Ideally companies with at least 10% is a good starting point, but value can be found in companies that have a lower average
Profit Margin vary between industries with Some having much higher averages than others

Intrinsic values and other data provided are intended as reference only. They should never be used as the sole means of valuing a company and/or making investment decisions. As with any investment, an investor should perform their due diligence before investing. This includes understand the investment risks, reviewing financial reporting documents, and consult an investment professional if necessary.

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