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Vera Bradley, Inc., together with its subsidiaries, designs and manufactures women’s handbags, luggage and travel items, fashion and home accessories, and gifts in the United States. It operates through two segments, Vera Bradley Direct and Vera Bradley Indirect. The company offers bag products, such as backpacks, totes, crossbodies, lunch bags, satchels, clutches, and baby bags; accessories, including ID holders, lanyards, wallets, wristlets, eyewear, various technology accessories, and bag charms. It also provides travel products comprising rolling luggage, cosmetics, travel and packing accessories, and travel bags, which include duffel and weekend bags; home products, such as textiles, throw blankets, beach towels, bedding, mugs, and tumblers; sleepwear, outerwear, slippers, and socks under the Vera Bradley brand; and stationery, licensing, freight, merchandising, and gift card breakage services. The company sells its Vera Bradley branded products through its full-line and outlet stores in the United States; e-commerce sites, such as verabradley.com, outlet.verabradley.com, and international.verabradley.com; direct to consumer marketplaces; and its annual outlet sale in Fort Wayne, Indiana, as well as through specialty retail locations, department stores, national accounts, third-party inventory liquidators, and through licensing agreements. Vera Bradley, Inc. was incorporated in 1982 and is headquartered in Roanoke, Indiana.
The new A+ Stock Grades system is a stock-grading tool based on percentile rankings of multiple key metrics within five quant factors: value, growth, momentum, estimate revisions and quality. They represent a summary of a company's fundamentals and give you a quick overview of how a stock rates based on five investment factors that have been shown to produce market-beating results.
Not only do you get a letter grade for each of the five investment factors, but you can also see the percentile rankings of the underlying data points for each grade. Also, we provide main competitors and their letter grades. These grades are calculated and updated daily.
Vera Bradley, Inc. (VRA) Competitors
Companies similar to Vera Bradley, Inc. in the Textiles, Apparel & Luxury Goods industry.
The Value Score is the percentile rank of the average of the percentile ranks of the price-to-sales ratio, price-earnings ratio, enterprise-value-to-EBITDA (EV/EBITDA) ratio, shareholder yield, price-to-book-value ratio and price-to-free-cash-flow ratio. The score is variable, meaning it can consider all six ratios or, should any of the six ratios not be valid, the remaining ratios that are valid. To be assigned a Value Score, stocks must have a valid (non-null) ratio and corresponding ranking for at least two of the six valuation ratios.
VRA has a Value Score of 55, which is considered to be Average.
Growth Grade:
Metric
Metric Score
VRA
Sector Median
Sales Growth 5yr Ann'l
20
(10.4%)
7.9%
Sales Increases YoY Last 5 yrs
20
1 of 5
3 of 5
Cash from Operations Ann'l Positive Last 5 yrs
40
2 of 5
5 of 5
The components of the Growth Composite Score consider a company's success in growing sales on a year‐over‐year (YoY) and long(er)‐term annualized basis and its ability to consistently generate positive cash from its core operations.
The Five-Year Sales Growth Score looks at a company's percentile ranking for its annualized growth in sales over the past five years. The sales of Vera Bradley, Inc. have been shrinking by an average of (10.4%) a year over the past five years. This ranks in the 20th percentile among all U.S.‐listed stocks.
The Five‐Year Sales Growth Score awards higher weightings for five‐year sales growth that ranks in the middle 60% of the stock universe, while lower weightings are awarded to those companies at the extremes—either too high or too low. The weightings for all companies in the stock universe are then ranked.
Vera Bradley, Inc.'s five‐year average annual sales growth rank of 20 translates into a Five‐Year Sales Growth Score of 20.
Vera Bradley, Inc. has seen its sales increase year over year for 1 out of the past five fiscal years.
This translates into a Year-Over-Year Sales Increases Score of 20.
The Year-Over-Year Sales Increases Score is based on a company's historical record of generating year-over-year increases in sales. A weighting of zero (0) is awarded when there have been no annual increases in sales over the past five years. At the same time, a weighting of 100 is awarded when a company has seen its sales increase in each of the past five years. The weightings for all companies in the stock universe are then ranked.
Vera Bradley, Inc. has generated positive annual cash from operations in 2 out of the past five fiscal years.
This translates into a Five-Year Positive Cash From Operations Score of 40.
The Five-Year Positive Cash From Operations Score is based on a company's historical record of generating positive cash from operations on an annual basis. A weighting of zero (0) is awarded when there have been no fiscal years of positive cash from operations over the past five years. At the same time, a weighting of 100 is awarded when a company has generated positive cash from operations for each of the past five fiscal years. The weightings for all companies in the stock universe are then ranked.
To arrive at the Growth Composite Score, the ranks of these three scores are added together, and the sum is ranked against the entire stock universe.
The sum of the three scores for Vera Bradley, Inc. is 63. This, in turn, ranks in the 2nd percentile among all U.S.-listed scores.
This Growth Composite Score translates into a Growth Grade of F for Very Weak.
Momentum Grade:
Metric
Score
VRA
Sector Median
Relative Price Strength (Q1)
25
(20.3%)
(3.3%)
Relative Price Strength (Q2)
97
65.2%
(9.8%)
Relative Price Strength (Q3)
43
(2.6%)
(3.9%)
Relative Price Strength (Q4)
81
16.7%
(7.3%)
Relative Price Strength (weighted 4 qtr)
77
7.7%
(3.7%)
The weighted four-quarter relative strength rank is the relative price change for each of the past four quarters. The most recent quarterly price change is given a weight of 40% and each of the three previous quarters given a weighting of 20%.
Momentum is based on the price change of a stock over a specified period relative to all other stocks. It is considered to be an anomaly in the analysis of stock returns because stocks with high relative levels of momentum tend to continue to outperform, while stocks with low relative levels of momentum tend to continue underperforming.
VRA has a weighted relative strength value of 7.7%. This translates into a momentum score of 77, which is Strong.
Estimate Revisions Grade:
Metric
Score
VRA
Sector Median
Quarterly Surprise SUE Latest Qtr
na
na
1.3
Quarterly Surprise SUE Prior Qtr
na
na
1.1
EPS Est Current Year % Rev Last Month
30
0.0%
0.0%
EPS Est Current Year % Rev 3 Mos
88
17.6%
0.3%
Investing based on analyst estimates looks for revisions in the consensus estimates as well as earnings surprises (actual earnings deviating from the consensus estimate). Academic studies have shown that companies that have seen strong upward earnings revisions or have reported significant earnings surprises can see an impact on share prices for up to a year.
The components examine the magnitude of a company's earnings surprises for the last two reported fiscal quarters as well as the change in the consensus estimate for the current fiscal year over the last month and three months.
VRA has a estimate revisions score of 59, which is Neutral.
Quality Grade:
Metric
Score
VRA
Sector Median
Return on Assets (ROA)
26
(7.9%)
2.7%
Return on Invested Capital (ROIC)
na
17.4%
Gross Income to Assets
93
59.8%
30.1%
Buyback Yield
48
(1.3%)
(0.3%)
Change in Total Liabilities to Assets
91
(13.6%)
2%
Accruals to Assets
73
(10%)
(5.6%)
Z Double Prime Bankruptcy Risk (Z) Score
81
8.74
5.6
F-Score
51
5
5
The Quality Grade is the percentile rank of the average of the percentile ranks of the return on assets (ROA), return on invested capital (ROIC), gross profit relative to assets, buyback yield, change in total liabilities to assets,
accruals, Z Double Prime bankruptcy risk (Z) score and F-Score. The score is variable, meaning it can consider all eight measures or,
should any of the eight measures not be valid, the remaining measures that are valid. To be assigned a Quality Score, stocks
must have a valid (non-null) measure and corresponding ranking for at least four of the eight quality measures.
The Quality Score is used to assess the “quality” of a particular stock. A higher quality stock possesses traits associated with upside potential and reduced downside risk.
Stocks receive better grades (higher scores) for having higher scores for the quality sub-components and worse grades (lower scores) for lower scores for the sub-components.
VRA has a quality score of 85, which is Very Strong.
Price/ Earnings per Share (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
2027
2028
2029
VRA
na
na
na
na
na
na
na
23.9
na
20.4
28.9
24.2
na
na
na
% Rank
na
na
na
na
na
na
na
64
na
56
70
64
na
na
na
Sector
20.2
19.5
20.1
19.4
19.1
20.3
21.4
16.9
17.0
17.5
17.6
19.8
16.0
14.0
11.9
Industry
20.6
19.9
26.0
20.9
21.4
21.9
22.2
18.7
15.9
17.5
25.7
20.1
14.4
14.1
11.4
Price/Book Value per Share (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
0.76
0.37
0.75
0.81
0.87
0.57
0.90
0.77
0.72
1.07
0.80
1.26
% Rank
15%
4%
8%
6%
9%
Sector
1.79
1.93
2.35
2.74
2.54
Industry
2.00
1.67
2.81
3.19
3.21
Price/Sales per Share (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
0.35
0.19
0.44
0.47
0.53
0.28
0.53
0.52
0.37
0.66
0.54
0.78
% Rank
14%
3%
7%
6%
8%
Sector
0.72
0.93
1.10
1.32
1.22
Industry
0.59
0.80
1.00
1.21
1.10
Price/Cash Flow per Share (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
79.4
na
na
na
na
na
na
6.5
na
14.7
17.6
na
% Rank
73%
na
na
na
na
Sector
34.7
41.4
71.9
102.8
43.2
Industry
46.4
41.5
90.3
0.0
0.0
Price/Free Cash Flow per Share (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
113.7
1.6
na
na
na
na
na
4.5
na
10.4
16.7
51.8
% Rank
94%
4%
na
na
na
Sector
16.9
17.9
19.0
24.5
25.7
Industry
19.4
11.6
18.4
23.6
36.4
Enterprise Value to EBITDA (X)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
na
na
na
na
na
na
na
9.4
158.4
8.1
8.4
8.3
% Rank
Sector
Industry
Dividend Yield (%)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
0.0%
% Rank
0%
0%
0%
0%
0%
Sector
0.0%
0.0%
0.0%
0.0%
0.0%
Industry
0.0%
0.0%
0.0%
0.1%
0.6%
Buyback Yield (%)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
(1.3%)
(9.4%)
4.0%
3.5%
3.2%
3.6%
6.2%
2.1%
6.8%
(1.2%)
1.7%
3.5%
Shareholder Yield (%)
Current
1 Year Ago
3Yr Avg
5Yr Avg
7Yr Avg
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
VRA
(1.3%)
(9.4%)
4.0%
3.5%
3.2%
3.6%
6.2%
2.1%
6.8%
(1.2%)
1.7%
3.5%
PEG 5Yr Hist Growth (x)
Current
VRA
na
% Rank
na
Sector
1.1
Industry
1.1
PEG 5Yr Est Growth (x)
Current
VRA
na
% Rank
na
Sector
1.9
Industry
2.0
PEG 5Yr Div Adj Growth (x)
Current
VRA
na
% Rank
na
Sector
1.0
Industry
1.0
P/E 3Yr Avg EPS (x)
Current
VRA
na
% Rank
na
Sector
20.3
Industry
20.6
Sales (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
7.7%
(9.5%)
(15.4%)
(18.6%)
(10.4%)
(6.0%)
Rank
13%
8%
6%
5%
6%
Sector
5.0%
4.4%
3.2%
7.9%
4.9%
Industry
6.3%
5.7%
1.4%
7.2%
3.5%
Gross Income (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
26.3%
(11.7%)
(21.7)
(19.4%)
(14.0%)
(8.8%)
Rank
60%
11%
10%
7%
8%
Sector
4.2%
4.7%
3.8%
8.5%
5.0%
Industry
23.8%
6.0%
1.6%
16.6%
(2.5%)
Net Income (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
85.7%
78.1%
23.2%
7.1%
(49.6%)
(23.2%)
Rank
64%
56%
7%
13%
Sector
4.8%
1.8%
1.4%
9.4%
2.4%
Industry
23.8%
6.0%
1.6%
16.6%
(2.5%)
EPS Continuing (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
73.8%
57.2%
(1.5%)
14.9%
(45.4%)
(21.8%)
Rank
71%
37%
60%
4%
8%
Sector
9.4%
5.7%
6.2%
13.7%
4.0%
Industry
18.3%
0.0%
(2.1%)
15.9%
(2.3%)
EPS Dil Cont (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
73.9%
57.2%
(1.5%)
14.9%
(45.4%)
(21.8%)
Rank
71%
37%
60%
4%
8%
Sector
9.4%
5.7%
6.2%
13.7%
4.0%
Industry
18.3%
0.0%
(2.1%)
15.9%
(2.3%)
Dividends (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
0.0%
na
0.0%
0.0%
0.0%
0.0%
Rank
na
9%
11%
10%
15%
Sector
3.4%
0.0%
0.0%
0.0%
0.0%
Industry
0.0%
0.0%
0.0%
0.0%
0.0%
Cash Flow Per Share (%)
Q/Q
TTM
1 Yr
3 Yr
5 Yr
7 Yr
VRA
69.6%
102.6%
74.1%
31.9%
(24.4%)
(12.8%)
Rank
65%
57%
61%
26%
32%
Sector
42.4%
42.8%
26.4%
(16.0%)
(3.4%)
Industry
68.8%
20.1%
29.6%
(15.8%)
(5.4%)
Summary Financial Ratios
Current
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
Z-Score
2.8
2.5
3
3.7
3.3
3.9
3.1
3.3
F-Score
5
4
2
8
3
7
7
4
Profitability Ratios
Gross Margin (%)
47.9%
46.4%
50.1%
53.2%
47.8%
53.3%
56.7%
56.6%
Gross Margin (Industry)
55.4%
55.5%
53.8%
52.7%
50%
53%
49.8%
49.8%
Operating Margin (%)
(5.3%)
(10.2%)
(7.8%)
3.8%
(2.1%)
5%
4.4%
5.8%
Operating Margin (Industry)
8.3%
7.9%
8.8%
9.9%
10.8%
11.5%
5.8%
9.6%
Net Margin (%)
(7%)
(17.7%)
(19.5%)
2%
(11.9%)
3.3%
1.9%
3.2%
Net Margin (Industry)
5.2%
4.7%
6.1%
6.5%
7.2%
7.8%
1.5%
6.1%
Return on Assets (%)
(7.9%)
(17.7%)
(18.1%)
2%
(13%)
3.5%
1.7%
3.6%
ROA (Industry)
4.5%
3.9%
5.3%
6.3%
6.4%
6.8%
1.8%
6%
Return on Equity (%)
(14.1%)
(30.8%)
(28.3%)
3.1%
(20.6%)
5.6%
2.8%
5.4%
ROE (Industry)
10.3%
9.5%
12.4%
12.4%
13.3%
14.1%
6.3%
11.8%
Liquidity Ratios
Current Ratio (x)
2.5
2.4
2.8
3.9
3.3
3.6
3.4
2.5
Current Ratio (Industry)
2.1
2.1
2.1
2.2
2.2
2.3
2.3
2.5
Payout Ratio (%)
0
0
0
0
0
0
0
0
Payout Ratio (Industry)
18.5
23.7
32.3
29.8
29.6
24.7
0
31
Capital Management Ratios
Liabilities to Assets (%)
42.1%
43.7%
41.6%
31.7%
35.2%
30.7%
32.9%
37.6%
Liab to Assets (Industry)
51.9%
43.7%
51.9%
52.5%
54.2%
51.7%
52.3%
49.1%
Buyback Yield (%)
(1.3%)
3.6%
6.2%
2.1%
6.8%
(1.2%)
1.7%
3.5%
Asset Management
Asset Turnover Ratio (x)
1.1
1
0.9
1
1.1
1
0.9
1.1
Asset Turnover (Industry)
1
1
0.9
1
1
1
0.9
1.1
Annual
Quarterly
Financial Statements
Current
01/2026
02/2025
02/2024
01/2023
01/2022
01/2021
02/2020
Annual Income Statement ($ Millions)
Sales
$274
$270
$319
$384
$500
$541
$468
$495
Gross Income
$131
$125
$160
$204
$239
$288
$266
$280
Depreciation & Amort.
$7
$8
$10
$11
$12
$12
$23
$24
Unusual/Extra
$4
$5
$4
$3
$84
$0
$7
$9
Operating Income
($14)
($27)
($25)
$15
($11)
$27
$21
$29
Other Expenses/(Income)
na
na
na
na
na
na
na
$0
Earnings Before Interest and Taxes (EBIT)
($14)
($27)
($25)
$15
($11)
$27
$21
$29
Interest Expense
na
na
na
na
na
na
na
na
Pretax Income
($19)
($32)
($28)
$12
($95)
$27
$12
$21
Net Income
($19)
($48)
($62)
$8
($60)
$18
$9
$16
Annual Cash Flow Statement ($ Millions)
Operating Cash Flow
$3
($10)
($14)
$48
($13)
$40
$21
$21
Investing Cash Flow
($1)
($2)
($10)
($14)
($8)
($4)
$18
($70)
Financing Cash Flow
($1)
$0
($23)
($4)
($20)
($11)
($24)
($14)
Capital Expenditures
$2
$3
$10
$4
$8
$6
$6
$13
Net Cash Flow
$1
($12)
($47)
$31
($42)
$24
$14
($64)
Annual Balance Sheet ($ Millions)
Cash
$13
$19
$29
$77
$47
$88
$64
$50
Total Current Assets
$112
$120
$165
$226
$227
$279
$260
$219
Net Property Plant, Equipment
$103
$110
$127
$121
$137
$140
$153
$188
Long-Term Investments
na
na
na
na
na
na
na
$15
Total Assets
$219
$234
$307
$381
$405
$518
$514
$535
Current Liabilities
$45
$51
$58
$58
$68
$78
$77
$87
Short-Term Debt
$18
$19
$19
$19
$20
$19
$22
$21
Long-Term Debt
$47
$52
$66
$63
$75
$81
$92
$114
Total Liabilities
$92
$102
$128
$121
$142
$159
$169
$201
Total Equity
$127
$132
$179
$260
$251
$327
$315
$304
Enterprise Value
$155
$154
$156
$239
$238
$318
$362
$436
Summary Per Share Values
Avg Shares Outst'g (Mil)
28
28
29
31
32
34
33
34
EPS Basic ($/Shr)
$ (0.69)
$ (1.72)
$ (2.15)
$ 0.25
$ (1.90)
$ 0.53
$ 0.26
$ 0.47
EPS Diluted Cont ($/Shr)
$ (0.69)
$ (1.17)
$ (1.15)
$ 0.27
$ (1.90)
$ 0.52
$ 0.26
$ 0.47
Dividends ($/Shr)
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
Cash Flow ($/Shr)
$ 0.04
$ (0.42)
$ (1.62)
$ 1.00
$ (1.33)
$ 0.72
$ 0.43
$ (1.87)
Free Cash Flow ($/Shr)
$ 0.03
$ (0.48)
$ (0.85)
$ 1.43
$ (0.69)
$ 1.02
$ 0.45
$ 0.22
Book Value ($/Shr)
$ 4.47
$ 4.71
$ 6.46
$ 8.44
$ 8.17
$ 9.87
$ 9.42
$ 9.07
Financial Statements
05/2026
01/2026
11/2025
08/2025
05/2025
02/2025
11/2024
08/2024
Quarterly Income Statement ($ Millions)
Sales
$56
$85
$62
$71
$52
$86
$71
$94
Gross
$29
$41
$26
$36
$23
$41
$38
$47
Depreciation & Amort.
$2
$2
$2
$2
$2
$2
$2
$3
Unusual/Extra
$1
($1)
$1
$3
$1
$4
$0
na
Operating Income
($4)
$2
($12)
($2)
($17)
($9)
($8)
$2
Other Expenses/(Income)
na
na
na
na
na
na
na
na
Earnings Before Interest and Taxes (EBIT)
($4)
$2
($12)
($2)
($17)
($9)
($8)
$2
Interest Expense
na
na
na
na
na
na
na
na
Pretax Income
($5)
$3
($12)
($5)
($18)
($12)
($8)
$3
Net Income
($5)
$3
($12)
($5)
($34)
($47)
($13)
$6
Quarterly Cash Flow Statement ($ Millions)
Operating Cash Flow
($5)
$17
($4)
($5)
($18)
$22
($23)
$1
Investing Cash Flow
$0
$1
($1)
($1)
($1)
($4)
($2)
($3)
Financing Cash Flow
$0
($10)
$0
$10
$0
($1)
($6)
($10)
Capital Expenditures
$0
$0
$1
$1
$2
$4
$2
$3
Net Cash Flow
($6)
$8
($5)
$4
($19)
$17
($30)
($11)
Quarterly Balance Sheet ($ Millions)
Cash
$13
$19
$11
$15
$11
$29
$14
$44
Total Current Assets
$112
$120
$122
$141
$136
$165
$185
$224
Net Property Plant, Equipment
$103
$110
$116
$116
$122
$127
$138
$119
Long-Term Investments
na
na
na
na
na
na
na
na
Total Assets
$219
$234
$244
$266
$268
$307
$359
$379
Current Liabilities
$45
$51
$49
$58
$60
$58
$60
$78
Short-Term Debt
$18
$19
$20
$18
$19
$19
$21
$18
Long-Term Debt
$47
$52
$67
$68
$62
$66
$74
$58
Total Liabilities
$92
$102
$116
$126
$122
$128
$134
$137
Total Equity
$127
$132
$128
$141
$146
$179
$225
$243
Enterprise Value
$155
$123
$143
$124
$121
$156
$225
$203
Summary Per Share Values
Avg Shares Outst'g (Mil)
28
28
28
28
28
28
28
28
EPS Basic ($/Shr)
$ (0.17)
$ 0.10
$ (0.44)
$ (0.17)
$ (1.21)
$ (1.69)
$ (0.46)
$ 0.20
EPS Diluted Cont ($/Shr)
$ (0.17)
$ 0.09
$ (0.44)
$ (0.17)
$ (0.66)
$ (0.72)
$ (0.48)
$ 0.25
Dividends ($/Shr)
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
$ 0.00
Cash Flow ($/Shr)
$ (0.21)
$ 0.28
$ (0.16)
$ 0.14
$ (0.69)
$ 0.60
$ (1.08)
$ (0.38)
Free Cash Flow ($/Shr)
$ (0.71)
$ 0.63
$ (0.89)
$ (0.05)
$ (0.50)
$ 0.83
$ 0.14
$ 0.77
Book Value ($/Shr)
$ 4.47
$ 4.71
$ 4.58
$ 5.03
$ 5.23
$ 6.46
$ 8.10
$ 8.45
Price and market data provided by QuoteMedia and delayed a minimum of 15 minutes unless otherwise indicated. Fundamental data provided by AAII's Stock Investor Pro and S&P Global Market Intelligence and are updated through the previous trading day.
Ⓒ 2026 American Association of Individual Investors