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The KEYW Holding Corporation (KEYW)



$6.23
52 Week Low
$9.49
2017-04-28 15:02:48 MDT
$13.57
52 Week High

Basic Info

Technology
Sector
Application Software
Industry
Nasdaq
Stock Exchange
United States
Country

Market Cap: $468,960,000Small Cap (Between $200M and $2B)
Analyst Recommendation:2.6Analysts say: Neutral+. (1=Strong Buy, 5=Strong Sell)
Beta: 1.03 Higher Volatility Stock (beta over 1). Stock will go up more when the market goes up, and go down more when the market goes down. Beta of 1 means stock would match the S&P 500 Index.

Fundamentals

ForwardPE: 30.97
5 Yr Est Growth: 25.00%
Yield: 0.00%
PEG-Y Ratio: 1.24
Good Growth at a reasonable rate. A PEGY Ratio of less than 1 is ideal. A PEGY Ratio 1.5 or lower is still decent.

Technicals

% Above 50 DayMA: 0.96%
% Above 200 DayMA: -12.45%
KEYW Performance 52 Weeks: 29.73%
S&P 500 Performance 52 Weeks: 13.50%
Mixed Trend. Short Term trend is up, but longer term trend is down. Currently beyond technical death cross because 50 Day MA is below 200 Day MA. Stock is closer to 52 Week Low than 52 Week High.
KEYW outperforming S&P 500 by 16.23% the last 52 Weeks.

Profile


More Valuation

Price To Book: 1.64
Great Value. Low Price to Book means better value.
EV to EBITDA: 18.14
Worse than average value. A low EV to EBITDA ratio is great. Ideally, under 10. Under 17 is okay.

More Info

Field Value Average Comments
% Held By Insiders28.76% 17.28%Held by greater than average Insiders. Insiders can sway stock price. Watch insider buying and selling.
% Held By Institutions94.30% 62.07%Institutional percentage greater than average. Institutional buying and selling can really move stock price.
Short % Of Float29.85% 07.02% Shorted by greater than average percent. Investors and traders do not believe in stock. But watch out for short squeezes pushing stock upwards.
Debt to Equity0.57 1.08 More Conservative Financing. Each industry has different Debt/Equity standard. Higher than 1 means company is taking on more leverage.
Profit Margin %-8.93%-00.18% Profit Margin is less than average.
Operating Margin %4.76%-05.28% Operating Margin greater than average percent. Good.
Return on Equity %0.77%-08.79% Return on Equity greater than average percent. Good.
Return on Assets %1.91%-01.29% Return on Assets greater than average percent. Good.
Revenue Per Employee $272,240.08 $883,096.70 Less than average Revenue Per Employee. This stock (or industry) might not be as efficient as others? Each industry might have a different standard.
Price to Cash 9.12 5.52 Higher than average Price to Cash. Meaning that the company has a lower percentage of cash as a percent of price. Cash can be good to cushion company during hard times, and as a potential source for buyouts or investments. However, some activists want the cash to be used by a company to buy its own stock, or to increase their dividend, or to invest the money.
CPEGY Ratio 1.10 2.26 Less than than average CPEGY Ratio. Ideally, a CPEGY should be less than 1 or less than 1.5. CPEGY is the PEG Ratio but incorporating the yield and subtracting Cash Per Share.

Quick Thoughts

PROS:
  1. Good PEGY (less than 1.5): 1.24

  2. Good 5 Yr Est Growth: 25.00%

  3. Stock is Above Short Term 50DMA: 0.96%

  4. Stock outperforming S&P 500 over last 52 weeks: 16.23%

  5. Price to Book is under 5: 1.64

  6. Better than average EV/EBITDA: 18.14

  7. Operating Margin is positive: 4.76%

  8. Return on Equity is positive: 0.77%

  9. Return on Assets is positive: 1.91%

  10. Debt To Equity is lower than 1: 0.57

CONS:
  1. High Forward PE: 30.97

  2. Stock is Below Long Term 200DMA: -12.45%

  3. Price to Cash Ratio (9.12) is greater than average. Company has less cash as a percent of price than the average.

  4. Shorted more than average: 29.85%

  5. Profit Margin is negative: -8.93%


Headlines


Stock Chart


InvestDashboard.com KEYW: The KEYW Holding Corporation

This page updated Thu Feb 1 22:00:01 MST 2018.