EPS growth is an important number as it indicates the future prospects of Armstrong Flooring. The EPS growth rate, as it is usually called, is typically displayed as a percentage, which is 13.30%. EPS growth is a vital measure of execution of the strategy for Armstrong Flooring since it indicates how well the business is allocating resources to benefit shareholders.



Armstrong Flooring trades as part of the basic materials sector and is in the building materials industry. The company CEO is Donald R. Maier. Armstrong Flooring Inc designs, manufactures, sources, and sells resilient and wood flooring products, which are primarily used for construction and renovation of residential, commercial, and institutional buildings.

Previous Intraday Performance:

The AFI shares had a previous change of -0.51% which opened at 15.64 and closed at 15.64. It moved to an intraday high of 16.11 and a low of 15.60.

SeekingAlpha:  Tracking Jeffrey Ubben’s ValueAct Portfolio – Q3 2018 Update

Historical Performance:

Over the last five trading days, AFI shares returned 0.77% and in the past 30 trading days it returned -4.05%. Over three months, it changed -11.59%. In one year it has changed -8.59% and within that year its 52-week high was 20.46 and its 52-week low was 12.03. AFI stock is 30.01% above its 52 Week Low.

Our calculations result in a 200 day moving average of 15.07 and a 50 day moving average of 16.65. Right now, AFI stock is trading 3.82% above its 200 day moving average and may be a good opportunity to buy.

SeekingAlpha:  Tracking Jeffrey Ubben’s ValueAct Portfolio – Q3 2018 Update

Liquidity:

The company has a market cap of $403.9m with 25.8m shares outstanding and a float of 25.4m shares. Trading volume was 161,197 shares and has experienced an average volume of 170,980 shares. Our calculation, using the current average volume and close price, leads me to believe that the liquidity is bad, highly speculative and an investor may want to avoid this stock.

Earnings:

The last annual reported EPS for Armstrong Flooring was -1.56 which ended on 31st of December 2017. Based on 2 analyst estimates, the consensus EPS for the next quarter is 0.32. The trailing twelve month EPS is 0.57, which comes to a trailing twelve month PE of 27.44.

Below was the last reported quarterly earnings per share:
09-30-2018:  0.46
06-30-2018:  0.47
03-31-2018:  -0.24
12-31-2017:  -0.12

Base on our calculations, the intrinsic value per share is 24.91, which means it might be undervalued and has a margin of safety of 37.22%



Indicators Also to Watch:

Based on the latest filings, there is 43.60% of institutional ownership. Short-interest was 1,002,073, which was 3.88% of shares outstanding. The short-interest ratio or days-to-cover ratio was 6.19. This stock has some short interest, but it might be normal and no need to worry if long the position.

I calculated the beta to be 2.19

SeekingAlpha:  Tracking Wallace Weitz’s Weitz Investment Management Portfolio – Q3 2018 Update

Fundamental Numbers:

Based on last reported financials, the company’s return on equity is -2.27%, return on assets is -1.40%, profit margin is -0.99%, price-to-sales is 0.36 and price-to-book is 0.73.

Company Score Card:

Results are out of six:
 3  : Growth Expectations Result
 5  : Financial Safety Result
 1  : Past Performance Result
 2  : Valuation Result
 0  : Dividend Safety Result
 2  : Overall Result

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I am an independent trader, analyst and algorithmic trading expert, having worked both for the sell side (brokerage) and the buy side (fund administration). I have been trading professionally for about 20 years. I trade stocks and forex and I play both long and short positions in underlying asset or through options. I have experience with discretionary and fully automated systems (Metatrader and Quantshare).

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