Category: Trading Opportunities

Some trading opportunities Traders-Paradise.com’s scanner algorithm had found.

  • Full in-depth analysis report on stocks: VRSN, CERN, ANSS, PLTR, RBLX, MDB, U, TWLO, VEEV, ZS, TTD, EA, ZM, CDNS, DDOG

    Hello and welcome to this full in-depth competitor analysis report on Verisign Inc., Cerner Corporation, ANSYS Inc., Palantir Technologies Inc, Roblox Corp, Mongodb Inc, Unity Software Inc, Twilio Inc, Veeva Systems Inc, Zscaler Inc, Trade Desk Inc, Electronic Arts Inc., Zoom Video Communications Inc, Cadence Design Systems Inc, Datadog Inc for date 2022-03-31


    I am Traders-Paradise.com’s analyst bot.

    Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

    I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

    All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

    This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

    At the end of this post you can see my, the analyst bot, assumptions.

    I used all of my available data, and used some machine-learning algorithms to assist me with the data.

    After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

    Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

    Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

    Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


    Full in-depth report on competitor companies (peer analysis)


    Ever wanted to analyze Twilio Inc and didn’t know how? Maybe wanted to learn more about Twilio Inc this post will also cover Cadence Design Systems Inc and their peers.

    This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

    This data is free. Use on your own discretion.


      Want me to generate a report specially for you?
      
      That's no problem at all!
      
      Submit a company name or its symbol, and I'll generate it for you. 
      
      Typically takes up to few hours.
      I will send you an email when it's ready.
      We do not share your email nor spam you.
      
      
      
      
      
      

      This report will use the public and known data for the companies stated in the following list:

        Verisign Inc.
    • Symbol: VRSN
    • Sector: Information
    • Market Cap: 24.47 BN
      • Cerner Corporation
    • Symbol: CERN
    • Sector: Health
    • Market Cap: 27.47 BN
      • ANSYS Inc.
    • Symbol: ANSS
    • Sector: Information
    • Market Cap: 27.88 BN
      • Palantir Technologies Inc
    • Symbol: PLTR
    • Sector: Information
    • Market Cap: 28.16 BN
      • Roblox Corp
    • Symbol: RBLX
    • Sector: Communication
    • Market Cap: 28.28 BN
      • Mongodb Inc
    • Symbol: MDB
    • Sector: Information
    • Market Cap: 29.07 BN
      • Unity Software Inc
    • Symbol: U
    • Sector: Information
    • Market Cap: 29.77 BN
      • Twilio Inc
    • Symbol: TWLO
    • Sector: Information
    • Market Cap: 30.61 BN
      • Veeva Systems Inc
    • Symbol: VEEV
    • Sector: Health
    • Market Cap: 32.91 BN
      • Zscaler Inc
    • Symbol: ZS
    • Sector: Information
    • Market Cap: 33.85 BN
      • Trade Desk Inc
    • Symbol: TTD
    • Sector: Information
    • Market Cap: 34.73 BN
      • Electronic Arts Inc.
    • Symbol: EA
    • Sector: Communication
    • Market Cap: 35.91 BN
      • Zoom Video Communications Inc
    • Symbol: ZM
    • Sector: Information
    • Market Cap: 36.61 BN
      • Cadence Design Systems Inc
    • Symbol: CDNS
    • Sector: Information
    • Market Cap: 45.46 BN
      • Datadog Inc
    • Symbol: DDOG
    • Sector: Information
    • Market Cap: 46.98 BN
    • Symbol = The company’s stock symbol.

      Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

      Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


      Most recent and current stats for each company

      Note that current stats does not update.

      Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

      Price of Last Trade = The last price in $USD this company’s stock has traded.

      Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

      Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

      Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
      Mar 31 VeriSign, Inc. 222.46+0.34(0.15%) 1.72%
      Mar 31 Cerner Corporation 93.56-0.09(-0.1%) 2.22%
      Mar 31 ANSYS, Inc. 317.65-2.66(-0.83%) 1.67%
      Mar 31 Palantir Technologies Inc. 13.73-0.15(-1.08%) 1.68%
      Mar 31 Roblox Corporation 46.24-1.88(-3.91%) 0.94%
      Mar 31 MongoDB, Inc. 443.59+13.37(3.11%) 2.62%
      Mar 31 Unity Software Inc. 99.21-2(-1.98%) 2.8%
      Mar 31 Twilio Inc. 164.81-3.82(-2.27%) 1.26%
      Mar 31 Veeva Systems Inc. 212.46-1.55(-0.72%) 1.99%
      Mar 31 Zscaler, Inc. 241.28+1.38(0.58%) 1.42%
      Mar 31 The Trade Desk, Inc. 69.25-2.38(-3.32%) 1.87%
      Mar 31 Electronic Arts Inc. 126.51-1.17(-0.92%) 1.42%
      Mar 31 Zoom Video Communications, Inc. 117.23-5.16(-4.22%) 2.37%
      Mar 31 Cadence Design Systems, Inc. 164.46+1.15(0.7%) 1.33%
      Mar 31 Datadog, Inc. 151.47+1.81(1.21%) 2.71%

      Important fundamentals stats about the companies

      Bottom line: How these companies’ sales and profit preform in comparison to their competitors


      Company nameRevenueNet incomeEPS
      Verisign Inc. 1.33 bn 0.78 bn 7.01
      Cerner Corporation 5.76 bn 0.55 bn 1.85
      ANSYS Inc. 1.91 bn 0.45 bn 5.16
      Palantir Technologies Inc 1.54 bn -0.52 bn -0.2705
      Roblox Corp 1.92 bn -0.49 bn -0.8554
      Mongodb Inc 0.87 bn -0.3 bn -4.74
      Unity Software Inc 1.11 bn -0.53 bn -1.88
      Twilio Inc 2.84 bn -0.94 bn -5.44
      Veeva Systems Inc 1.85 bn 0.42 bn 2.93
      Zscaler Inc 0.85 bn -0.33 bn -2.38
      Trade Desk Inc 1.2 bn 0.13 bn 0.2765
      Electronic Arts Inc. 6.51 bn 0.64 bn 2.22
      Zoom Video Communications Inc 4.09 bn 1.38 bn 4.49
      Cadence Design Systems Inc 2.99 bn 0.69 bn 2.5
      Datadog Inc 1.03 bn -0.02 bn -0.0678

      Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

      Net income = How much they are left with, after all the expenses.

      EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


      Employees stats

      Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

      Company nameEmployeesRevenue per employee in $USD
      Verisign Inc. 904.00 1468558.00
      Cerner Corporation 25.15k 229217.70
      ANSYS Inc. 5.10k 373865.70
      Palantir Technologies Inc 2.92k 528044.20
      Roblox Corp 1.60k 1199488.00
      Mongodb Inc 3.54k 246552.50
      Unity Software Inc 5.25k 211730.40
      Twilio Inc 7.87k 361235.40
      Veeva Systems Inc 4.51k
      Zscaler Inc 3.15k 272615.90
      Trade Desk Inc 1.97k 608269.90
      Electronic Arts Inc. 11.00k 592000.00
      Zoom Video Communications Inc 6.79k 604076.00
      Cadence Design Systems Inc 9.30k 321316.60
      Datadog Inc 3.20k 321495.00

      Employees = Number of total employees as found on several public resources.

      Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


      Advanced stats

      A more in-depth perspective on the companies

      Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
      Verisign Inc. 0.7079 % 3.40 % 41.85 59.12 %
      Cerner Corporation 0.7709 % 0.3329 % 7.43 9.64 %
      ANSYS Inc. 0.3109 % 0.1439 % 7.41 23.84 %
      Palantir Technologies Inc 0.5193 % 0.00 % -17.53 -33.75 %
      Roblox Corp 0.599 % 0.6249 % -15.71 -26.23 %
      Mongodb Inc 0.4531 % 0.641 % -15.91 -35.12 %
      Unity Software Inc 0.2956 % 0.4156 % -14.18 -47.96 %
      Twilio Inc 0.2528 % 0.0849 % -8.45 -33.43 %
      Veeva Systems Inc 0.5394 % — % 12.46 23.09 %
      Zscaler Inc 0.3915 % 0.6356 % -15.06 -38.47 %
      Trade Desk Inc 0.378 % 0.00 % 4.35 11.51 %
      Electronic Arts Inc. 0.4943 % 0.1978 % 4.86 9.83 %
      Zoom Video Communications Inc 0.6382 % 0.00 % 21.41 33.55 %
      Cadence Design Systems Inc 0.7169 % 0.1126 % 16.7 23.29 %
      Datadog Inc 0.4817 % 0.414 % -0.9714 -2.02 %

      Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

      Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

      Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

      Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


      According to the data above, our analyst bot has ranked these companies

      Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

      That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

      With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


      In the score metric, it considered lower to be of better performance.

      Company nameScore:Results:

      Verisign Inc.

      88

      Under Valued

      Cerner Corporation

      65

      Under Valued

      ANSYS Inc.

      93

      Under Valued

      Palantir Technologies Inc

      137

      Valued

      Roblox Corp

      119

      Valued

      Mongodb Inc

      192

      Valued

      Unity Software Inc

      175

      Valued

      Twilio Inc

      109

      Under Valued

      Veeva Systems Inc

      105

      Under Valued

      Zscaler Inc

      216

      Valued

      Trade Desk Inc

      152

      Valued

      Electronic Arts Inc.

      67

      Under Valued

      Zoom Video Communications Inc

      67

      Under Valued

      Cadence Design Systems Inc

      95

      Under Valued

      Datadog Inc

      219

      Valued


  • Full in-depth analysis report on stocks: ATC, LTHM, UNVR, ESI, AXTA, SMG, OLN

    Hello and welcome to this full in-depth competitor analysis report on Atotech Ltd, Livent Corp, Univar Solutions Inc, Element Solutions Inc, Axalta Coating Systems Ltd, Scotts Miracle-Gro Co, Olin Corporation for date 2022-03-31


    I am Traders-Paradise.com’s analyst bot.

    Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

    I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

    All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

    This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

    At the end of this post you can see my, the analyst bot, assumptions.

    I used all of my available data, and used some machine-learning algorithms to assist me with the data.

    After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

    Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

    Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

    Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


    Full in-depth report on competitor companies (peer analysis)


    Ever wanted to analyze Livent Corp and didn’t know how? Maybe wanted to learn more about Livent Corp this post will also cover Atotech Ltd and their peers.

    This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

    This data is free. Use on your own discretion.


      Want me to generate a report specially for you?
      
      That's no problem at all!
      
      Submit a company name or its symbol, and I'll generate it for you. 
      
      Typically takes up to few hours.
      I will send you an email when it's ready.
      We do not share your email nor spam you.
      
      
      
      
      
      

      This report will use the public and known data for the companies stated in the following list:

        Atotech Ltd
    • Symbol: ATC
    • Sector: Materials
    • Market Cap: 4.15 BN
    • Symbol: LTHM
    • Sector: Materials
    • Market Cap: 4.24 BN
    • Symbol: UNVR
    • Sector: Industrials
    • Market Cap: 5.48 BN
    • Symbol: ESI
    • Sector: Materials
    • Market Cap: 5.57 BN
    • Symbol: AXTA
    • Sector: Materials
    • Market Cap: 5.63 BN
    • Symbol: SMG
    • Sector: Materials
    • Market Cap: 7.19 BN
    • Symbol: OLN
    • Sector: Materials
    • Market Cap: 8.16 BN
    • Symbol = The company’s stock symbol.

      Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

      Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


      Most recent and current stats for each company

      Note that current stats does not update.

      Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

      Price of Last Trade = The last price in $USD this company’s stock has traded.

      Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

      Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

      Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
      Mar 31 Atotech Limited 21.95+0.63(2.95%) 1.46%
      Mar 31 Livent Corporation 26.07-0.12(-0.46%) 7.1%
      Mar 31 Univar Solutions Inc. 32.14-0.14(-0.43%) 2.75%
      Mar 31 Element Solutions Inc. 21.9-0.55(-2.45%) 2.08%
      Mar 31 Axalta Coating Systems Ltd. 24.58-0.51(-2.03%) 1.17%
      Mar 31 Scotts Miracle-Gro Company (The 122.96-6.48(-5.01%) 2.94%
      Mar 31 Olin Corporation 52.28-0.61(-1.15%) 1.68%

      Important fundamentals stats about the companies

      Bottom line: How these companies’ sales and profit preform in comparison to their competitors


      Company nameRevenueNet incomeEPS
      Atotech Ltd 1.48 bn -0.04 bn -0.2466
      Livent Corp 0.42 bn 0.0 bn -0.0229
      Univar Solutions Inc 9.53 bn 0.46 bn 2.68
      Element Solutions Inc 2.4 bn 0.2 bn 0.8191
      Axalta Coating Systems Ltd 4.42 bn 0.26 bn 1.14
      Scotts Miracle-Gro Co 4.74 bn 0.44 bn 7.6
      Olin Corporation 8.91 bn 1.3 bn 7.95

      Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

      Net income = How much they are left with, after all the expenses.

      EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


      Employees stats

      Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

      Company nameEmployeesRevenue per employee in $USD
      Atotech Ltd 3.86k 382,703.3
      Livent Corp 1.11k 379,080.3
      Univar Solutions Inc 9.45k 1,009,048.0
      Element Solutions Inc 5.30k 452,792.4
      Axalta Coating Systems Ltd 13.00k 339,707.7
      Scotts Miracle-Gro Co 2.40k 1,975,958.0
      Olin Corporation 7.75k 1,149,755.0

      Employees = Number of total employees as found on several public resources.

      Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


      Advanced stats

      A more in-depth perspective on the companies

      Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
      Atotech Ltd 0.4285 % 0.6517 % -0.0058 -0.0135 %
      Livent Corp 0.393 % 0.2321 % 0.0561 0.1427 %
      Univar Solutions Inc 1.45 % 0.497 % 7.01 4.83 %
      Element Solutions Inc 0.4988 % 0.4326 % 4.23 8.48 %
      Axalta Coating Systems Ltd 0.6145 % 0.7134 % 3.68 5.99 %
      Scotts Miracle-Gro Co 1.03 % 0.7959 % 9.57 9.32 %
      Olin Corporation 1.06 % 0.5117 % 15.45 14.55 %

      Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

      Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

      Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

      Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


      According to the data above, our analyst bot has ranked these companies

      Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

      That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

      With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


      In the score metric, it considered lower to be of better performance.

      Company nameScore:Results:

      Atotech Ltd

      166

      Valued

      Livent Corp

      452

      Valued

      Univar Solutions Inc

      74

      Under Valued

      Element Solutions Inc

      141

      Valued

      Axalta Coating Systems Ltd

      101

      Under Valued

      Scotts Miracle-Gro Co

      109

      Under Valued

      Olin Corporation

      82

      Under Valued


    • Full in-depth analysis report on stocks: LCID, RIVN, GM, F

      Hello and welcome to this full in-depth competitor analysis report on Lucid Group Inc, Rivian Automotive Inc, General Motors Company, Ford Motor Company

      I am Traders-Paradise.com’s analyst bot.

      Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

      I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

      All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

      This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

      At the end of this post you can see my, the analyst bot, assumptions.

      I used all of my available data, and used some machine-learning algorithms to assist me with the data.

      After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

      Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

      Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

      Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


      Full in-depth report on competitor companies (peer analysis)


      Ever wanted to analyze Lucid Group Inc and didn’t know how? Maybe wanted to learn more about Lucid Group Inc this post will also cover Rivian Automotive Inc and their peers.

      This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

      This data is free. Use on your own discretion.


        Want me to generate a report specially for you?
        
        That's no problem at all!
        
        Submit a company name or its symbol, and I'll generate it for you. 
        
        Typically takes up to few hours.
        I will send you an email when it's ready.
        We do not share your email nor spam you.
        
        
        
        
        
        

        This report will use the public and known data for the companies stated in the following list:

          Lucid Group Inc
      • Symbol: LCID
      • Sector: Consumer
      • Market Cap: 43.81 BN
      • Symbol: RIVN
      • Sector: Consumer
      • Market Cap: 46.83 BN
      • Symbol: GM
      • Sector: Consumer
      • Market Cap: 65.71 BN
      • Symbol: F
      • Sector: Consumer
      • Market Cap: 69.15 BN
      • Symbol = The company’s stock symbol.

        Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

        Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


        Most recent and current stats for each company

        Note that current stats does not update.

        Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

        Price of Last Trade = The last price in $USD this company’s stock has traded.

        Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

        Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

        Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
        Mar 31 Lucid Group, Inc. 25.4-1.1(-4.15%) 3.76%
        Mar 31 Rivian Automotive, Inc. 50.24-1.77(-3.4%) 1.97%

        Important fundamentals stats about the companies

        Bottom line: How these companies’ sales and profit preform in comparison to their competitors


        Company nameRevenueNet incomeEPS
        Lucid Group Inc 0.02 bn -4.75 bn -4.91
        Rivian Automotive Inc 0.05 bn -4.69 bn -18.18
        General Motors Company 127.0 bn 9.84 bn 6.71
        Ford Motor Company 136.34 bn 17.94 bn 4.43

        Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

        Net income = How much they are left with, after all the expenses.

        EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


        Employees stats

        Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

        Company nameEmployeesRevenue per employee in $USD
        Lucid Group Inc 3.90k 6951.54
        Rivian Automotive Inc 6.27k
        General Motors Company 157.00k 808942.70
        Ford Motor Company 183.00k 745032.80

        Employees = Number of total employees as found on several public resources.

        Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


        Advanced stats

        A more in-depth perspective on the companies

        Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
        Lucid Group Inc 0.0055 % 0.3398 % -51.82 -9515.55 %
        Rivian Automotive Inc — % 0.0591 % -8523.64 %
        General Motors Company 0.5293 % 0.6243 % 4.14 7.83 %
        Ford Motor Company 0.5201 % 0.7396 % 6.83 13.14 %

        Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

        Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

        Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

        Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


        According to the data above, our analyst bot has ranked these companies

        Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

        That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

        With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


        In the score metric, it considered lower to be of better performance.

        Company nameScore:Results:

        Lucid Group Inc

        103896

        Valued

        Rivian Automotive Inc

        54368

        Valued

        General Motors Company

        79

        Under Valued

        Ford Motor Company

        76

        Under Valued


      • Full in-depth analysis report on stocks: NEP, CWEN, OGE, PNW, NRG, VST, NI, EVRG, BEPC, LNT, AES, AGR

        Full in-depth competitor analysis report on Nextera Energy Partners LP, Clearway Energy Inc, OGE Energy Corp., Pinnacle West Capital Corporation, NRG Energy Inc, Vistra Corp, NiSource Inc., Evergy Inc, Brookfield Renewable Corp, Alliant Energy Corporation, AES Corp, Avangrid Inc

        I am Traders-Paradise.com’s analyst bot.

        Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

        I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

        All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

        This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

        At the end of this post you can see my, the analyst bot, assumptions.

        I used all of my available data, and used some machine-learning algorithms to assist me with the data.

        After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

        Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

        Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

        Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


        Full in-depth report on competitor companies (peer analysis)


        Ever wanted to analyze Pinnacle West Capital Corporation and didn’t know how? Maybe wanted to learn more about Pinnacle West Capital Corporation this post will also cover Vistra Corp and their peers.

        This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

        This data is free. Use on your own discretion.


          Want me to generate a report specially for you?
          
          That's no problem at all!
          
          Submit a company name or its symbol, and I'll generate it for you. 
          
          Typically takes up to few hours.
          I will send you an email when it's ready.
          We do not share your email nor spam you.
          
          
          
          
          
          

          This report will use the public and known data for the companies stated in the following list:

            Nextera Energy Partners LP
        • Symbol: NEP
        • Sector: Utilities
        • Market Cap: 7.06 BN
        • Symbol: CWEN
        • Sector: Utilities
        • Market Cap: 7.12 BN
        • Symbol: OGE
        • Sector: Utilities
        • Market Cap: 8.10 BN
        • Symbol: PNW
        • Sector: Utilities
        • Market Cap: 8.77 BN
        • Symbol: NRG
        • Sector: Utilities
        • Market Cap: 9.21 BN
        • Symbol: VST
        • Sector: Utilities
        • Market Cap: 10.37 BN
        • Symbol: NI
        • Sector: Utilities
        • Market Cap: 12.81 BN
        • Symbol: EVRG
        • Sector: Utilities
        • Market Cap: 15.65 BN
        • Symbol: BEPC
        • Sector: Utilities
        • Market Cap: 15.70 BN
        • Symbol: LNT
        • Sector: Utilities
        • Market Cap: 15.75 BN
        • Symbol: AES
        • Sector: Utilities
        • Market Cap: 16.99 BN
        • Symbol: AGR
        • Sector: Utilities
        • Market Cap: 18.10 BN
        • Symbol = The company’s stock symbol.

          Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

          Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


          Most recent and current stats for each company

          Note that current stats does not update.

          Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

          Price of Last Trade = The last price in $USD this company’s stock has traded.

          Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

          Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

          Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
          Mar 31 NextEra Energy Partners, LP 83.855-0.295(-0.35%) 10.71%
          Mar 31 Clearway Energy, Inc. 36.545+0.125(0.34%) 3.39%
          Mar 31 OGE Energy Corp 40.74+0.29(0.72%) 1.86%
          Mar 31 Pinnacle West Capital Corporati 78.37+0.68(0.88%) 2.02%
          Mar 31 NRG Energy, Inc. 38.884+0.864(2.27%) 3.88%
          Mar 31 Vistra Corp. 23.555+0.455(1.97%) 3.62%
          Mar 31 NiSource Inc 31.9+0.29(0.92%) 2.74%
          Mar 31 Evergy, Inc. 68.53+0.27(0.4%) 1.15%
          Mar 31 Brookfield Renewable Corporatio 43.93+0.54(1.24%) 4.47%
          Mar 31 Alliant Energy Corporation 62.96+0.08(0.13%) 2.9%
          Mar 31 The AES Corporation 25.938+0.487(1.92%) 1.9%
          Mar 31 Avangrid, Inc. 47.21+0.38(0.81%) 5.72%

          Important fundamentals stats about the companies

          Bottom line: How these companies’ sales and profit preform in comparison to their competitors


          Company nameRevenueNet incomeEPS
          Nextera Energy Partners LP 0.98 bn 0.13 bn 1.81
          Clearway Energy Inc 1.29 bn 0.05 bn 0.4359
          OGE Energy Corp. 3.65 bn 0.73 bn 3.68
          Pinnacle West Capital Corporation 3.8 bn 0.58 bn 5.47
          NRG Energy Inc 26.99 bn 2.19 bn 8.93
          Vistra Corp 12.08 bn -1.27 bn -2.61
          NiSource Inc. 4.9 bn 0.52 bn 1.3
          Evergy Inc 5.59 bn 0.87 bn 3.83
          Brookfield Renewable Corp 3.37 bn 0.94 bn 2.61
          Alliant Energy Corporation 3.67 bn 0.65 bn 2.63
          AES Corp 11.14 bn -0.41 bn -0.8179
          Avangrid Inc 6.97 bn 0.7 bn 2.07

          Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

          Net income = How much they are left with, after all the expenses.

          EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


          Employees stats

          Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

          Company nameEmployeesRevenue per employee in $USD
          Nextera Energy Partners LP
          Clearway Energy Inc 304.00 4230263.00
          OGE Energy Corp. 2.19k 1672174.00
          Pinnacle West Capital Corporation 91.00 41800380.00
          NRG Energy Inc 6.64k 4067672.00
          Vistra Corp 5.06k 2386759.00
          NiSource Inc. 7.27k 673762.40
          Evergy Inc 4.93k 1133205.00
          Brookfield Renewable Corp 2.13k 1580751.00
          Alliant Energy Corporation 3.31k 1107456.00
          AES Corp 8.45k 1318462.00
          Avangrid Inc 7.35k 949101.80

          Employees = Number of total employees as found on several public resources.

          Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


          Advanced stats

          A more in-depth perspective on the companies

          Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
          Nextera Energy Partners LP 0.0623 % 0.3231 % 2.69 43.18 %
          Clearway Energy Inc 0.1099 % 0.7003 % -0.6409 -5.83 %
          OGE Energy Corp. 0.3133 % 0.5513 % 6.32 20.18 %
          Pinnacle West Capital Corporation 0.181 % 0.5499 % 2.85 15.76 %
          NRG Energy Inc 1.42 % 0.6889 % 11.49 8.1 %
          Vistra Corp 0.44 % 0.5694 % -4.61 -10.47 %
          NiSource Inc. 0.2121 % 0.574 % 2.55 12.02 %
          Evergy Inc 0.2008 % 0.5482 % 3.18 15.82 %
          Brookfield Renewable Corp 0.0827 % 0.4876 % 2.28 27.62 %
          Alliant Energy Corporation 0.2024 % 0.5682 % 3.72 18.37 %
          AES Corp 0.3298 % 0.7625 % -2.76 -8.36 %
          Avangrid Inc 0.1804 % 0.2975 % 1.66 9.22 %

          Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

          Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

          Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

          Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


          According to the data above, our analyst bot has ranked these companies

          Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

          That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

          With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


          In the score metric, it considered lower to be of better performance.

          Company nameScore:Results:

          Nextera Energy Partners LP

          254

          Valued

          Clearway Energy Inc

          211

          Valued

          OGE Energy Corp.

          107

          Under Valued

          Pinnacle West Capital Corporation

          112

          Valued

          NRG Energy Inc

          59

          Under Valued

          Vistra Corp

          84

          Under Valued

          NiSource Inc.

          123

          Valued

          Evergy Inc

          126

          Valued

          Brookfield Renewable Corp

          173

          Valued

          Alliant Energy Corporation

          168

          Valued

          AES Corp

          99

          Under Valued

          Avangrid Inc

          123

          Valued


        • Full in-depth analysis report on stocks: NXPI, KLAC, MRVL, ADI, MU, AMAT

          Hello and welcome to this full in-depth competitor analysis report on NXP Semiconductors NV, KLA Corp, Marvell Technology Inc, Analog Devices Inc., Micron Technology Inc., Applied Materials Inc.

          I am Traders-Paradise.com’s analyst bot.

          Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

          I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

          All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

          This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

          At the end of this post you can see my, the analyst bot, assumptions.

          I used all of my available data, and used some machine-learning algorithms to assist me with the data.

          After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

          Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

          Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

          Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


          Full in-depth report on competitor companies (peer analysis)


          Ever wanted to analyze Micron Technology Inc. and didn’t know how? Maybe wanted to learn more about Analog Devices Inc. this post will also cover Analog Devices Inc. and their peers.

          This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

          This data is free. Use on your own discretion.


            Want me to generate a report specially for you?
            
            That's no problem at all!
            
            Submit a company name or its symbol, and I'll generate it for you. 
            
            Typically takes up to few hours.
            I will send you an email when it's ready.
            We do not share your email nor spam you.
            
            
            
            
            
            

            This report will use the public and known data for the companies stated in the following list:

              NXP Semiconductors NV
          • Symbol: NXPI
          • Sector: Information
          • Market Cap: 49.18 BN
          • Symbol: KLAC
          • Sector: Information
          • Market Cap: 56.34 BN
          • Symbol: MRVL
          • Sector: Information
          • Market Cap: 61.90 BN
          • Symbol: ADI
          • Sector: Information
          • Market Cap: 87.12 BN
          • Symbol: MU
          • Sector: Information
          • Market Cap: 88.64 BN
          • Symbol: AMAT
          • Sector: Information
          • Market Cap: 119.97 BN

          • Symbol = The company’s stock symbol.

            Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

            Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


            Most recent and current stats for each company

            Note that current stats does not update.

            Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

            Price of Last Trade = The last price in $USD this company’s stock has traded.

            Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

            Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

            Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
            Mar 31 NXP Semiconductors N.V. 186.541-0.789(-0.42%) 2.17%
            Mar 31 KLA Corporation 371.155-2.665(-0.71%) 0.97%
            Mar 31 Marvell Technology, Inc. 72.85-0.16(-0.22%) 1.34%
            Mar 31 Analog Devices, Inc. 166.59+0.11(0.07%) 1.79%
            Mar 31 Micron Technology, Inc. 78.05-1.11(-1.4%) 1.03%
            Mar 31 Applied Materials, Inc. 134.2-1.6(-1.18%) 1.26%

            Important fundamentals stats about the companies

            Bottom line: How these companies’ sales and profit preform in comparison to their competitors


            Company nameRevenueNet incomeEPS
            NXP Semiconductors NV 11.06 bn 1.87 bn 6.82
            KLA Corp 8.17 bn 2.99 bn 19.43
            Marvell Technology Inc 4.46 bn -0.42 bn -0.5321
            Analog Devices Inc. 8.44 bn 1.28 bn 3.17
            Micron Technology Inc. 31.17 bn 9.02 bn 7.94
            Applied Materials Inc. 24.17 bn 6.55 bn 7.19

            Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

            Net income = How much they are left with, after all the expenses.

            EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


            Employees stats

            Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

            Company nameEmployeesRevenue per employee in $USD
            NXP Semiconductors NV 31.00k 356,871.0
            KLA Corp 11.30k 722,629.4
            Marvell Technology Inc 6.73k 663,156.9
            Analog Devices Inc. 24.70k 341,867.3
            Micron Technology Inc. 43.00k 724,860.4
            Applied Materials Inc. 27.00k 895,259.3

            Employees = Number of total employees as found on several public resources.

            Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


            Advanced stats

            A more in-depth perspective on the companies

            Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
            NXP Semiconductors NV 0.5435 % 0.6096 % 9.37 17.25 %
            KLA Corp 0.7598 % 0.4598 % 27.79 36.57 %
            Marvell Technology Inc 0.2715 % 0.2246 % -2.56 -9.44 %
            Analog Devices Inc. 0.2324 % 0.1432 % 3.53 15.18 %
            Micron Technology Inc. 0.529 % 0.1288 % 15.28 28.88 %
            Applied Materials Inc. 0.992 % 0.3145 % 26.88 27.1 %

            Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

            Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

            Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

            Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


            According to the data above, our analyst bot has ranked these companies

            Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

            That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

            With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


            In the score metric, it considered lower to be of better performance.

            Company nameScore:Results:

            NXP Semiconductors NV

            96

            Under Valued

            KLA Corp

            107

            Under Valued

            Marvell Technology Inc

            203

            Valued

            Analog Devices Inc.

            153

            Valued

            Micron Technology Inc.

            73

            Under Valued

            Applied Materials Inc.

            95

            Under Valued


          • Full in-depth analysis report on stocks: NOW, INTU, CRM, ADBE, ORCL

            Hello and welcome to this full in-depth competitor analysis report on ServiceNow Inc, Intuit Inc., salesforce.com inc., Adobe Inc, Oracle Corporation

            I am Traders-Paradise.com’s analyst bot.

            Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

            I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

            All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

            This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

            At the end of this post you can see my, the analyst bot, assumptions.

            I used all of my available data, and used some machine-learning algorithms to assist me with the data.

            After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

            Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

            Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

            Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


            Full in-depth report on competitor companies (peer analysis)


            Ever wanted to analyze salesforce.com inc. and didn’t know how? Maybe wanted to learn more about Oracle Corporation this post will also cover Oracle Corporation and their peers.

            This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

            This data is free. Use on your own discretion.


              Want me to generate a report specially for you?
              
              That's no problem at all!
              
              Submit a company name or its symbol, and I'll generate it for you. 
              
              Typically takes up to few hours.
              I will send you an email when it's ready.
              We do not share your email nor spam you.
              
              
              
              
              
              

              This report will use the public and known data for the companies stated in the following list:

                ServiceNow Inc
            • Symbol: NOW
            • Sector: Information
            • Market Cap: 114.80 BN
            • Symbol: INTU
            • Sector: Information
            • Market Cap: 133.47 BN
            • Symbol: CRM
            • Sector: Information
            • Market Cap: 212.79 BN
            • Symbol: ADBE
            • Sector: Information
            • Market Cap: 217.01 BN
            • Symbol: ORCL
            • Sector: Information
            • Market Cap: 222.42 BN
            • Symbol = The company’s stock symbol.

              Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

              Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


              Most recent and current stats for each company

              Note that current stats does not update.

              Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

              Price of Last Trade = The last price in $USD this company’s stock has traded.

              Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

              Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

              Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
              Mar 31 ServiceNow, Inc. 563.495-10.495(-1.83%) 2.51%
              Mar 31 Intuit Inc. 481.98+10.03(2.13%) 0.96%
              Mar 31 Adobe Inc. 460.43+0.37(0.08%) 2.03%
              Mar 31 Oracle Corporation 83.47+0.11(0.13%) 2.33%

              Important fundamentals stats about the companies

              Bottom line: How these companies’ sales and profit preform in comparison to their competitors


              Company nameRevenueNet incomeEPS
              ServiceNow Inc 5.9 bn 0.23 bn 1.13
              Intuit Inc. 11.41 bn 2.17 bn 7.84
              salesforce.com inc. 26.49 bn 1.44 bn 1.5
              Adobe Inc 16.14 bn 4.83 bn 10.07
              Oracle Corporation 41.83 bn 7.56 bn 2.61

              Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

              Net income = How much they are left with, after all the expenses.

              EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


              Employees stats

              Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

              Company nameEmployeesRevenue per employee in $USD
              ServiceNow Inc 16.88k 349,209.2
              Intuit Inc. 13.50k 845,481.5
              salesforce.com inc. 73.54k 360,234.4
              Adobe Inc 25.99k 621,132.8
              Oracle Corporation 132.00k 316,878.8

              Employees = Number of total employees as found on several public resources.

              Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


              Advanced stats

              A more in-depth perspective on the companies

              Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
              ServiceNow Inc 0.6042 % 0.299 % 2.36 3.9 %
              Intuit Inc. 0.5581 % 0.3015 % 10.62 19.03 %
              salesforce.com inc. 0.328 % 0.1541 % 1.79 5.45 %
              Adobe Inc 0.6335 % 0.2305 % 18.94 29.9 %
              Oracle Corporation 0.3689 % 1.12 % 6.67 18.08 %

              Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

              Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

              Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

              Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


              According to the data above, our analyst bot has ranked these companies

              Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

              That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

              With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


              In the score metric, it considered lower to be of better performance.

              Company nameScore:Results:

              ServiceNow Inc

              167

              Valued

              Intuit Inc.

              114

              Valued

              salesforce.com inc.

              101

              Under Valued

              Adobe Inc

              117

              Valued

              Oracle Corporation

              78

              Under Valued


            • Full in-depth analysis report on stocks: BMY, MRK, LLY, ABBV, PFE

              Hello and welcome to this full in-depth competitor analysis report on Bristol-Myers Squibb Co, Merck & Co. Inc., Eli Lilly And Co, AbbVie Inc, Pfizer Inc.

              I am Traders-Paradise.com’s analyst bot.

              Yes, that’s right. Everything you’re about to read in this report was generated by an algorithm.

              I’m following the news, I’m reading the quarterly reports, I do the math, and I show you my calculations.

              All the data shown is real and recent (to the date of this post. This post WILL NOT be updated) and was gathered from crossing information over multiple datacenters and some are simply math equations on this data.

              This data is supposed to help you, the trader, in making smarter trades. That is how my developer uses me.

              At the end of this post you can see my, the analyst bot, assumptions.

              I used all of my available data, and used some machine-learning algorithms to assist me with the data.

              After that I calculated the fair value of these companies you see below, and I came up with this method to rank between these competitors:

              Green = Good business/underpriced. These are businesses with good fundamentals in comparison to its peers, but for some reason, the market didn’t realize it yet. Or there are other problems.

              Orange = Currently valued. These stocks are currently valued at around the price they should, in comparison.

              Note: None of the written below or above isn’t a guarantee for success. Use at your own risk.


              Full in-depth report on competitor companies (peer analysis)


              Ever wanted to analyze Eli Lilly And Co and didn’t know how? Maybe wanted to learn more about Eli Lilly And Co this post will also cover Merck & Co. Inc. and their peers.

              This report will walk you through the hard work of analyzing data. In fact, even retrieve data isn’t a simple task. That’s why this analyst is made. To help you, the trader, in gaining access to top-notch accurate and recent data. You cannot find this kind of tables anywhere else. All of the following companies has been recognized as players in the same area field that the other companies in the list play in.

              This data is free. Use on your own discretion.


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                This report will use the public and known data for the companies stated in the following list:

                  Bristol-Myers Squibb Co
              • Symbol: BMY
              • Sector: Health
              • Market Cap: 156.67 BN
              • Symbol: MRK
              • Sector: Health
              • Market Cap: 208.29 BN
              • Symbol: LLY
              • Sector: Health
              • Market Cap: 276.08 BN
              • Symbol: ABBV
              • Sector: Health
              • Market Cap: 289.23 BN
              • Symbol: PFE
              • Sector: Health
              • Market Cap: 296.17 BN
              • Symbol = The company’s stock symbol.

                Sector = The sector of which the company work in. Most of the time we compare between same sector, but sometime we take for comparison a company from a different sector but close enough bossiness to be able to add for comparison.

                Market Cap = The total value of the company. All the shares available multiplied by the most recent price of its stock.


                Most recent and current stats for each company

                Note that current stats does not update.

                Data Collected = All of the data in this report was collected to this date, and is valid to this date only. Data does not update.

                Price of Last Trade = The last price in $USD this company’s stock has traded.

                Daily Change = The first in $USD change from previous day and the second in actual percentage of the price.

                Short Interest Ratio = The short interest ratio represent the number of shares shorted divided by the stock’s average trading volume. Rule of thumb indicates the the lower the short interest ratio meaning that not many are willing to bet against the stock. But, in some cases, you might see a ‘short-sqeeze’ meaning people are buying the stock hence driving it up while the shorts see their trades lose, forcing them to buy back the stock at a lose and continue the buying circle driving the price much higher.

                Data Collected:Company namePrice of Last TradeDaily Change (in $)Daily Change (in %)Short Interest Ratio:
                Mar 31 Bristol-Myers Squibb Company 73.375+0.195(0.27%) 3.41%
                Mar 31 Merck & Company, Inc. 82.85+0.45(0.55%) 1.5%
                Mar 31 Eli Lilly and Company 289.82-0.07(-0.02%) 2.26%
                Mar 31 AbbVie Inc. 163.96+0.21(0.13%) 1.89%
                Mar 31 Pfizer, Inc. 52.31-0.13(-0.25%) 1.95%

                Important fundamentals stats about the companies

                Bottom line: How these companies’ sales and profit preform in comparison to their competitors


                Company nameRevenueNet incomeEPS
                Bristol-Myers Squibb Co 46.39 bn 6.99 bn 3.12
                Merck & Co. Inc. 48.7 bn 12.35 bn 5.14
                Eli Lilly And Co 28.32 bn 5.58 bn 6.12
                AbbVie Inc 56.2 bn 11.47 bn 6.45
                Pfizer Inc. 81.29 bn 22.41 bn 3.85

                Revenues = How much money did the company gain in the previous 12 months, according to official statement the company itself gave on its reports.

                Net income = How much they are left with, after all the expenses.

                EPS = Earning per share (EPS) is is calculated as a company’s profit divided by the total outstanding shares. A high EPS indicates that the company is more profitable and has more profits to distribute to shareholders.


                Employees stats

                Employees are both the most expensive part of the total expenses of a company, and at the same time – its most valuable asset.

                Company nameEmployeesRevenue per employee in $USD
                Bristol-Myers Squibb Co 32.20k 1,440,528.0
                Merck & Co. Inc. 68.00k 716,235.3
                Eli Lilly And Co 35.00k 809,097.1
                AbbVie Inc 50.00k 1,123,940.0
                Pfizer Inc. 79.00k 1,028,962.0

                Employees = Number of total employees as found on several public resources.

                Revenue per employee = In general, how much money every employee is generating to the company. The higher is better.


                Advanced stats

                A more in-depth perspective on the companies

                Company nameAsset turnoverTotal debt to capitalReturn on avg assetsNet profit margin
                Bristol-Myers Squibb Co 0.4073 % 0.553 % 6.16 15.12 %
                Merck & Co. Inc. 0.4938 % 0.4639 % 12.53 25.37 %
                Eli Lilly And Co 0.5934 % 0.6484 % 11.7 19.71 %
                AbbVie Inc 0.3783 % 0.8324 % 7.77 20.55 %
                Pfizer Inc. 0.4843 % 0.3316 % 13.38 27.63 %

                Asset turnover = This ratio of total sales to average assets can offer an understanding to how effectively companies are using their assets to generate sales and make more money. Usually, higher is better.

                Total debt to capital = the D/E Ratio shows the weight of total debt and liabilities against total shareholders’ equity. usually, lowers is better.

                Return on avg assets = The return on average assets is useful in measuring profits against the assets used by a company for generating profits. Usually, higher is better.

                Net profit margin = measures how much net income or profit is generated as a percentage of revenue. Usually, higher is better.


                According to the data above, our analyst bot has ranked these companies

                Ranking companies isn’t an easy task. Much can vary, much can change, no one can predict the future.

                That’s why I, the analyst bot, try to take as many variables as I can (in the algorithmic limitations) and try to use it to value and rank the companies in this report.

                With that being said, I urge you to look at this results in an educational way as this is not meant to be a trading recommendation of any sort.


                In the score metric, it considered lower to be of better performance.

                Company nameScore:Results:

                Bristol-Myers Squibb Co

                90

                Under Valued

                Merck & Co. Inc.

                93

                Under Valued

                Eli Lilly And Co

                155

                Valued

                AbbVie Inc

                106

                Under Valued

                Pfizer Inc.

                85

                Under Valued


              • Today’s 3 trading opportunities ( July 15, 2021 ) + Results!

                Today’s 3 trading opportunities ( July 15, 2021 ) + Results!

                Our trading algorithm found many opportunities today. Here are 3 of them + the best trading strategies our algo-trader found.

                Please note: These strategies might take up to few weeks to end. Be patient.

                Invesco Ltd (NYSE:IVZ) – Current price: $26.02

                Strategy
                 Take Profit = $145.03
                 Stop Loss = $133.96

                Click “Play” to see what actually happened:

                KLA Corporation (NASDAQ:KLAC) – Current price: $309.12

                Strategy
                Take Profit = $327.71
                Stop Loss = $282.15

                Click “Play” to see what actually happened:

                Sun Communities, Inc (NYSE:SUI) – Current price: $181.37

                Strategy
                Alert: $171.69
                Take Profit = $174.97
                Stop Loss = $165.41

                Click “Play” to see what actually happened:

                 

                 

                 

              • Today’s 3 trading opportunities ( July 13, 2021 )

                Today’s 3 trading opportunities ( July 13, 2021 )

                Our trading algorithm found many opportunities today. Here are 3 of them + the best trading strategies our algo-trader found.

                Please note: These strategies might take up to few weeks to end. Be patient.

                Dollar Tree Inc. (Symbol: DLTR) – Current price: $98.95

                Strategy
                 Take Profit = $106.56 
                 Stop Loss = $87.44

                Click “Play” to see what actually happened:


                Ball Corporation(Symbol: BLL)- Current price: $84.76

                Strategy
                 Take Profit = $87.43 
                 Stop Loss = $80.31

                Click “Play” to see what actually happened:


                IBM (Symbol: IBM)- Current price: $140.92

                Strategy
                 Take Profit = $145.03 
                 Stop Loss = $133.96

                Click “Play” to see what actually happened:

                 

              • Traders-Paradise