The stock has seen a meteoric rise in price, gaining 77% over the last 12 months, and 53% in the last 6. Trading at 22x book value and 116x free-cash flow is crazy high, and it's sales yield of 6.48% is in the lowest 5% of the market. With grossly negative ROA (-21.7%) and ROE (-65.5%), it's no wonder insiders have reduced their ownership by 16% in the last 6 months. Is anyone holding on to this for the long-term, or are traders buying in hoping the trend continues and they can get out before the coming downfall?
Submitted March 11, 2015 at 03:14PM by QuantifiedAlpha http://ift.tt/1C6pSP0
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