04-24-2017: Par Technology Corporation (PAR): Restaurant Industry Niche

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Par Technology Corporation

Par Technology (PAR) develops software mainly used in the food and beverage industry to manage food safety and quality, and also point of sale operations. It has some rather large restaurant chain customers for this main source of revenue, but it also has a separate section doing government work on various intelligence and mission operations. This includes a "Rome Research" operation out of New York state that has signficant contracts with the U.S. Navy and Army.

PAR was founded in 1993 as a domestically based "foreign business" corporation in New York. Annual revenues have stayed fairly constant at around $230 million/year. This would be considered a "small cap" operation in our opinion, and our Decision Matrix ratings penalize firms which do not have an analyst following because some information is hard to obtain, i.e. "projected earnings" based upon analysts' estimates.

The stock has been soaring of late. News on this company consistently seems to be on getting large contracts and new customers. Executive compensation seems reasonable and suggests good corporate governance. We would suggest paying particular attention to the average to current p/e ratios for an explanation of the current stock upward momentum. Short interest on the stock has become large, but this could lead to a "short squeeze." We think most traders are looking for a pullback.

The company has a good website, but no CEO Letter to Shareholders which we did not like. Researchers in general are moderate to slightly favorable, although Market Grader and Standard & Poor's less so. As said before, there appears to be no current analyst following, nor are there any stock options being traded because of the company's relatively small size. The average share volume is only about 34,000 shares per day.

The Zenith Index is marginally favorable. Some researchers see problems with the corpopration's balance sheet, but it has little or no debt.

The corporation's unique "niche" in serving 50,000 restaurants across the country make it an interesting stock to follow.



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Zenith Index

Under current market conditions, a Zenith Index Score of 1.20 or above is required for a positive rating on this factor. 1.21 -1.30 is considered acceptable, 1.30-1.40 is considered strong and
> 1.40 is considered exceptionally strong. Accounting statements in this section often contain mistakes, especially in earlier years' totals, but data is deemed sufficient for us to give a rating. More accurate financial statements follow in the next section.

PAR Technology Corporation (PAR)                          Exchange: NYSE
PAR Technology Park
8383 Seneca Turnpike             Sector: Technology
New Hartford, NY 13413           Industry:Application Software

PAR Technology Corporation, through its subsidiaries, primarily provides
technology solutions to businesses and organizations in the hospitality
industry worldwide. The company operates in two segments: Hospitality
and Government. The Hospitality segment offers hardware, software, and a
range of support services, including point-of-sale (POS) terminals,
tablets, kitchen systems utilizing printers and/or video monitors, and
various food safety monitoring and task management hardware and software
solutions; and front-of-store POS software applications, operations
management software applications, and enterprise software applications
for content management and business intelligence. This segment serves
restaurants, grocery stores, and specialty retail outlets. The
Government segment offers intelligence, surveillance, and
reconnaissance; systems engineering and evaluation; satellite and
telecommunications; satellite operation, management, and maintenance;
and information technology/systems services to the U.S. Department of
Defense and federal agencies. The company was founded in 1968 and is
headquartered in New Hartford, New York.

Last Trade:   7.68                           52-Week Range:   7.92 -   4.30
Employees:                                   Avg.Volume:      34,740 Shares

Corporate Governance:
Pillar scores are Audit: N/A; Board: N/A; Shareholder Rights: N/A; Compensation:
 N/A.
         (A lower number means less governance risk.)

EPS:  0.15    Dividend Amount: $ 0.00          Yield:  0.00%
             Ex-Dividend Date: N/A             Payout Ratio:   0.00

Key Statistics:

    Trailing P/E:  51.58                      Target Price:   9.00

Qrtly Stock Price Growth (yoy):  15.32%               Beta:   0.05
Qrtly S&P Index   Growth (yoy):   6.00%        Short Ratio:   0.18%
    Qrtly Revenue Growth (yoy):  11.73%         Shares Out:  15770000
   Qrtly Earnings Growth (yoy):   0.00%

          Book Value:   4.45                    Debt/Equity:   0.81%
    Price/Book Value:   1.76        Operating Profit Margin:   3.02%
         Price/Sales:   0.54                  Profit Margin:   1.03%
         Market Cap:     123,650,000       Return on Equity:   3.62%
    Enterprise Value:     115,200,000      Return on Assets:   3.61%

    Operating Cash Flow:            594
         Free Cash Flow:        -13,531



Annual Income Statement:                          (All numbers in thousands)
  Period Ending                             12/31/2015  12/31/2014  12/31/2013

  Total Revenue                                229,003     217,863     241,394
  Cost of Revenue                              182,864     176,247     188,559
  Gross Profit                                  46,139      41,616      52,835

Operating Expenses:
  Research & Development                             0           0           0
  Selling, General & Administrative             28,276      28,974      37,925
  Non-Recurring Expenses                             0           0           0
  Other Operating Expenses                         987         279         279
  Total Operating Expenses                           0           0           0

Operating Income or Loss                         6,629       3,416        -657

Income from Continuing Operations:
  Total Other Income/Expenses Net                 -800         485         506
  Earnings Before Interest & Taxes               5,829       3,901        -151
  Interest Expense                                 308         136          60
  Income Before Taxes                            5,521       3,765        -211
  Income Tax Expense                             1,500       3,694        -780
  Minority Interest                                  0           0           0

Net Income from Continuing Op.s                  4,021          71         569

Non-recurring Events:
  Discontinued Operations                       -4,912      -3,722        -211
  Extraordinary Items                                0           0           0
  Effect of Accounting Changes                       0           0           0
  Other Items                                        0           0           0
  Net Income                                      -891      -3,651         358
  Preferred Stock & Other Adjustments                0           0           0

Net Income Avail to Common Shares                 -891      -3,651         358



Annual Cash Flow Statement:                   (All numbers in thousands)
  Period Ending                         12/31/2015    12/31/2014    12/31/2013

  Net Income                                 4,021            71           569

Operating Activities:
  Depreciation                               3,070         2,007         2,830
  Adjustments to Net Income                  6,420         7,995         1,800
  Changes in Accounts Recv'bls                -628          -700        -1,514
  Changes in Liabilities                    -8,376         9,257        -5,773
  Changes in Investories                     3,136        -3,826          -857
  Changes in other Oper'g Acts                -494        -1,497           322

Total Cash Flow f Operations                   594         6,261        -3,230

Investing Activities:
  Capital Exenditures                       -1,705        -1,536        -1,136
  Investments                                 -776          -776          -776
  Other Cash Flows fr Investing              8,906        -8,466        -4,652

Total Cash Flows from Investing              6,425       -10,002        -5,788

Financing Activities:
  Dividends Paid                                 0             0             0
  Sale of Purchase of Stock                    473             2            52
  Net Borrowings                            -5,173         4,835          -159
  Other Cash Flows fr Financing             -3,000        -3,000        -4,652

Total Cash Flows from Financing             -7,700         4,837          -107

  Effect of Exchange Rate Chg               -1,462          -944          -335

Change in Cash & Cash Equiv.                -2,143           152        -9,460



Annual Balance Sheets:                              (All Numbers in Thousands)
  Period Ending                          12/31/2015    12/31/2014    12/31/2013
Current Assets:
  Cash & Cash Equivalents                     8,024         9,867        10,015
  Short Term Investments                          0             0             0
  Net Receivables                            36,271        34,186        34,435
  Inventory                                  21,499        25,928        24,465
  Other Current Assets                        3,808        26,137         3,418
  Total Current Assets                       69,602        96,118        72,333

  Long-Term Investments                       3,320         3,320         3,320
  Property, Plant & Equipt                    5,716         5,148         5,494
  Goodwill                                   11,051        11,051         6,852
  Intangible Assets                          10,898        10,580        15,071
  Accumulated Amortization                        0             0             0
  Other Assets                                3,687         3,043         2,675
  Deferred LT Asset Charges                  11,038        11,357        15,083

Total Assets                                115,312       137,297       117,508

Current Liabilities:
  Accounts Payable                           24,440        31,951        26,749
  Current Portion LT Debt                     2,103         8,173           166
  Other Current Liabilities                  11,260        16,247        13,241
  Total Current Liabilities                  37,803        56,371         40,156

  Long Term Debt                             24,440        31,951        26,749
  Other Liabilities                           2,103         8,173           166
  Deferred LT Liab. Charges                  11,260        16,247        13,241
  Minority Interest                               0             0             0
  Negative Goodwill                               0             0             0

Total Liabilities                            47,252        67,784        44,788

Stockholder Equity:
  Misc. Options, Warrants                         0             0             0
  Redeemable Preferred Stock                      0             0             0
  Preferred Stock                                 0             0             0
  Common Stock                                  347           346           344
  Retained Earnings                          30,574        31,465        35,116
  Treasury Stock                             -5,836        -5,836        -5,836
  Capital Surplus                            45,753        44,854        43,635
  Other Stockhohlder Equity                  -2,778        -1,316          -539
  Total Stockholder Equity                   68,060        69,513        72,720

Net Tangible Assets                          46,111        47,882        50,797



PAR Technology Corporation (PAR)            [Indices near +3.0, near zero,
                                            or < zero bear special attention.]
P/E Ratio Tests:
P/E Ratio < 28?            0.5428          P/E Ratio > 5?             1.0000
P/E Ratio Vs Growth Rate:  0.0000          Forward P/E Ratio < 28?    0.0000
Price/Sales Ratio < 2.3?   3.0000          Inventory/Sales < 5%?      0.5326
Sales < $1 Billion?        3.0000          Operating Margin < 7.5%?   2.4834

Balance Sheet Tests:
Debt/Equity < 0.40?        3.0000          Long-Term Debt Service:    3.0000
LTD Being Reduced?         3.0000          Short-Term Debt Service:   3.0000
Current Ratio > 2?         0.9206          Working Capital >= 1.5?    0.8256
Leverage Ratio < 20%?      3.0000          Debt/Assets < 1?           3.0000
Quick Ratio > 1?           3.0000          Inventory Turnover > 1?    0.7347
Share Equity Increase:     1.9350          Market Cap.< 1.5 Billion?  3.0000
                                           Intangibles < 3% Assets?   0.1576
Income Tests:
Profit Margin < 7.5%?      0.1373          EPS Annual Growth > 10%?   0.4098
Dividend Yield > 2.0%?     0.0000          EPS 3-yr Growth > 15?     -0.0603
Enterprise Value/Revenue   0.5399          EPS Growth Consistent?     0.0000
Enterprise Value/EBITDA:   3.0000          Collection < 45 days?      0.7784
EPS Qrtly Growth > 10%?    0.0000          Gross Pft/Cur. LTD > 1?    3.0000
                                           Borrowing Int. Rate < 6%?  0.1103
Stock Performance Tests:
Volatility > 25%?          1.8283          % Held by Insiders < 5%?   0.1250
Beta > 1.25?               0.0400          % Held by Institut. < 50?  3.0000
50 Da MA > 200 Da MA?      0.3906          % Held by Institut. > 30?  0.5367
52-Wk Change vs. S&P 500:  1.3061          Short Ratio > 5?           0.0360
Price/Book Value < 3?      1.7383          Short % of Float > 20?     0.0035
Return on Assets > 17%?    0.2124          Average Volume > 100,000?  0.3474

Cash Flow Tests:
Oper. C.F. > Lever'd C.F: -0.0439          Positive Free Cash Flow?  -1.0000
Positive Oper. Cash Flow?  3.0000          Price to C.F.Ratio < 14?:  1.6665
                                           Cash Flow / Assets > 10%?  1.2765

PAR    PAR Technology Corporation          Overall Zenith Index:      1.2558


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Financial Statements

PAR TECHNOLOGY CORP  (PAR)                  INCOME STATEMENT

Fiscal year ends in December.                        2012-12         2013-12         2014-12         2015-12         2016-12             TTM           

Revenue                                          245,159,008     241,394,000     233,610,000     229,003,008     229,652,992     229,652,992
Cost of revenue                                  194,214,000     188,559,008     182,288,000     182,864,000     183,452,992     183,452,992
Gross profit                                      50,945,000      52,835,000      51,322,000      46,139,000      46,200,000      46,200,000


Operating expenses
Research and development                          13,697,000      15,567,000      15,965,000      10,247,000      11,581,000      11,581,000
Sales, General and administrative                 40,476,000      37,925,000      37,297,000      28,276,000      31,440,000      31,440,000
Other operating expenses                             755,000               0         279,000         987,000         966,000         966,000
Total operating expenses                          54,928,000      53,492,000      53,541,000      39,510,000      43,987,000      43,987,000

Operating income                                  -3,983,000        -657,000      -2,219,000       6,629,000       2,213,000       2,213,000
Interest Expense                                      69,000          60,000         136,000         308,000               0               0
Other income (expense)                               876,000         506,000         304,000        -800,000       1,437,000       1,437,000
Income before taxes                               -3,176,000        -211,000      -2,051,000       5,521,000       3,650,000       3,650,000
Provision for income taxes                        -1,414,000        -780,000       1,600,000       1,500,000       1,147,000       1,147,000
Net income from continuing operations             -1,762,000         569,000      -3,651,000       4,021,000       2,503,000       2,503,000
Net income from discontinuing ops                  1,447,000        -211,000               0      -4,912,000        -720,000        -720,000
Net income                                          -315,000         358,000      -3,651,000        -891,000       1,783,000       1,783,000
Net income available to common shareholders         -315,000         358,000      -3,651,000        -891,000       1,783,000       1,783,000

Earnings per share
Basic                                                  -0.02            0.02           -0.24           -0.06            0.11            0.11 
Diluted                                                -0.02            0.02           -0.24           -0.06            0.11            0.11 

Weighted average shares outstanding
Basic                                             15,115,000      15,240,000      15,501,000      15,562,000      15,675,000      15,675,000
Diluted                                           15,115,000      15,273,000      15,501,000      15,666,000      15,738,000      15,738,000

____________________________________________________________________________________________________________________________________________


PAR TECHNOLOGY CORP  (PAR)                  BALANCE SHEET

Fiscal year ends in December.                        2012-12         2013-12         2014-12         2015-12         2016-12             

Assets

Current assets

Cash

Total cash                                        19,475,000      10,015,000      10,167,000       8,024,000       9,055,000

Receivables                                       29,890,000      30,688,000      31,445,000      29,530,000      30,705,000
Inventories                                       26,172,000      24,465,000      25,922,000      21,499,000      26,237,000
Deferred income taxes                             11,037,000       3,747,000       4,512,000       6,741,000       7,767,000
Other current assets                               4,064,000       3,418,000       4,597,000       3,808,000       8,260,000
Total current assets                              90,638,000      72,333,000      76,643,000      69,602,000      82,024,000

Non-current assets

Property, plant and equipment
Gross property, plant and equipment               36,401,000      37,535,000      25,205,000      23,032,000      25,304,000
Accumulated Depreciation                         -30,544,000     -32,041,000     -19,070,000     -17,316,000     -18,269,000
Net property, plant and equipment                  5,857,000       5,494,000       6,135,000       5,716,000       7,035,000

Goodwill                                           6,852,000       6,852,000      17,167,000      11,051,000      11,051,000
Intangible assets                                 11,747,000      15,071,000      22,952,000      10,898,000      10,966,000
Deferred income taxes                              6,280,000      15,083,000      11,357,000      11,038,000       9,650,000
Other long-term assets                             2,391,000       2,675,000       3,043,000       7,007,000       3,785,000
Total non-current assets                          33,127,000      45,175,000      60,654,000      45,710,000      42,487,000

Total assets                                     123,765,000     117,508,000     137,296,992     115,312,000     124,511,000 

Liabilities and stockholders' equity

Liabilities

Current liabilities
Short-term debt                                      159,000         166,000       8,173,000       2,103,000         187,000
Accounts payable                                  21,216,000      17,200,000      19,676,000      11,729,000      16,687,000
Taxes payable                                        547,000         185,000         475,000         279,000               0
Accrued liabilities                               10,864,000       9,364,000      13,007,000      12,432,000      10,152,000
Deferred revenues                                 12,522,000      12,170,000      15,040,000      10,819,000      19,814,000
Other current liabilities                          1,380,000       1,071,000               0         441,000               0
Total current liabilities                         46,688,000      40,156,000      56,371,000      37,803,000      46,840,000

Non-current liabilities
Long-term debt                                     1,084,000         918,000       2,566,000         566,000         379,000
Other long-term liabilities                        3,171,000       3,714,000       8,847,000       8,883,000       7,712,000
Total non-current liabilities                      4,255,000       4,632,000      11,413,000       9,449,000       8,091,000

Total liabilities                                 50,943,000      44,788,000      67,784,000      47,252,000      54,931,000 

Stockholders' equity

Common stock                                         341,000         344,000         346,000         347,000         350,000
Additional paid-in capital                        43,661,000      43,635,000      44,854,000      45,753,000      46,203,000
Retained earnings                                 34,758,000      35,116,000      31,465,000      30,574,000      32,357,000
Treasury stock                                    -5,834,000      -5,836,000      -5,836,000      -5,836,000      -5,836,000
Accumulated other comprehensive income              -104,000        -539,000      -1,316,000      -2,778,000      -3,494,000
Total stockholders' equity                        72,822,000      72,720,000      69,513,000      68,060,000      69,580,000
Total liabilities and stockholders' equity       123,765,000     117,508,000     137,296,992     115,312,000     124,511,000

____________________________________________________________________________________________________________________________________________


PAR TECHNOLOGY CORP  (PAR)                  Statement of CASH FLOW

Fiscal year ends in December. USD.                   2012-12         2013-12         2014-12         2015-12         2016-12             TTM           

Cash Flows From Operating Activities
Net income                                          -315,000         358,000      -3,651,000        -891,000       1,783,000       1,783,000
Depreciation & amortization                        8,723,000       2,830,000       3,670,000       3,070,000       4,624,000       4,624,000
Investment/asset impairment charges                  300,000               0               0               0               0               0
Investments losses (gains)                                 0               0               0         776,000        -771,000        -771,000
Deferred income taxes                             -1,950,000      -1,878,000         516,000      -1,910,000         708,000         708,000
(Gain) Loss from discontinued operations          -1,447,000         211,000               0       4,912,000         720,000         720,000
Stock based compensation                             649,000         187,000       1,185,000         487,000         469,000         469,000
Accounts receivable                                  581,000      -1,514,000      -1,169,000        -628,000      -1,576,000      -1,576,000
Inventory                                         -4,058,000        -857,000      -3,689,000       3,136,000      -5,987,000      -5,987,000
Accounts payable                                   5,446,000      -3,930,000       2,477,000      -7,529,000       4,958,000       4,958,000
Accrued liabilities                                1,253,000      -1,505,000       3,643,000         214,000      -2,023,000      -2,023,000
Income taxes payable                                 409,000        -361,000               0               0               0               0
Other working capital                              2,154,000         345,000         635,000      -1,555,000       7,927,000       7,927,000
Other non-cash items                               1,613,000       2,884,000       2,644,000         512,000         164,000         164,000
Net cash provided by operating activities         13,358,000      -3,230,000       6,261,000         594,000      10,996,000      10,996,000

Cash Flows From Investing Activities
Investments in property, plant, and equipmen      -5,331,000      -5,788,000      -5,002,000      -3,853,000      -6,118,000      -6,118,000
Acquisitions, net                                  4,000,000               0      -5,000,000      12,100,000               0               0
Purchases of investments                                   0               0               0        -776,000               0               0
Sales/Maturities of investments                    1,912,000               0               0               0               0               0
Purchases of intangibles                          -3,405,000               0               0               0               0               0
Other investing activities                         2,577,000               0               0      -1,046,000        -977,000        -977,000
Net cash used for investing activities              -247,000      -5,788,000     -10,002,000       6,425,000      -7,095,000      -7,095,000

Cash Flows From Financing Activities
Debt issued                                                0               0       5,002,000     217,156,000     214,980,000     214,980,000
Debt repayment                                    -1,500,000        -159,000        -165,000    -222,328,992    -215,160,992    -215,160,992
Other financing activities                            24,000          52,000               0      -2,527,000      -1,973,000      -1,973,000
Net cash provided by (used for) financing         -1,476,000        -107,000       4,837,000      -7,700,000      -2,154,000      -2,154,000

Effect of exchange rate changes                       98,000        -335,000        -944,000      -1,462,000        -716,000        -716,000
Net change in cash                                11,733,000      -9,460,000         152,000      -2,143,000       1,031,000       1,031,000
Cash at beginning of period                        7,742,000      19,475,000      10,015,000      10,167,000       8,024,000       8,024,000
Cash at end of period                             19,475,000      10,015,000      10,167,000       8,024,000       9,055,000       9,055,000

Free Cash Flow
Operating cash flow                               13,358,000      -3,230,000       6,261,000         594,000      10,996,000      10,996,000
Capital expenditure                               -5,331,000      -5,788,000      -5,002,000      -3,853,000      -6,118,000      -6,118,000
Free cash flow                                     8,027,000      -9,018,000       1,259,000      -3,259,000       4,878,000       4,878,000
____________________________________________________________________________________________________________________________________________


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Average to Current P/E Ratios
              (PAR)     Par Technology Corp.

                               2012    2013    2014    2015    2016

          Annual Earnings:    -0.02    0.02   -0.24    0.10    0.15
Average Price During Year:     4.95    4.50    4.74    5.03    5.54

                P/E Ratio:   247.58  225.17   19.73   50.29   36.90

 Average 5-Year P/E Ratio  = 115.94
             Current Price =  8.27

Previous 5 Quarter Earnings:   0.06    0.00    0.00    0.03    0.11

           Current Annualized (Last Four Quarters) Earnings =  .14
                                                           ________
                                 Average PE / Current PE =     1.96
                                                           --------

                                      ...a number above 1.00 is good
                                                1.00 or below is bad


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Financial Ratios

. . . . . . . . . . . . 1 = Highest , 10 = Lowest



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Market Grader

900
901 902 903 904 905 906 907 908 909 910



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Intrinsic Value (DCF)

Intrinsic Value by Discounted Cash Flow Method:

Intrinsic Value



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Book Value

Book Value:

Book Value



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Projected Earnings

Because there is no current analyst following, there are also no projected earnings data available.



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Research Reports

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Analysts' Opinions

No current analysts estimates could be found for PAR.

Analysts' Opinion 1
Analysts' Opinion 2



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Insider Activity

Insiders Chart Insiders Chart Executive Compensation Executive Compensation



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Institutional Activity

Institutional Orders to Buy or Sell:

institutions 1
Ownership:

institutions 2


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Sentiment

sentiment

Zenith uses the "sentiment" score above or below 50 to award a positive or negative point in the Decision Matrix.

sentiment sentiment sentiment



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Short Interest Ratio

As the short interest rises as a percentage of average daily share volume (Days to Cover), this is considered a measure of negative sentiment. Similarly, a decrease in that percentage is considered positive sentiment.

short interest short interest


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Standard & Poor's

S&P Stock Report (Requires Adobe Acrobat Reader)



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Management's Discussion of Results of Operations Excerpts

Click Here for Management's Discussion Excerpts



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Moving Average Chart



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Right Time Study



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Channeling Potential

 
The summary below includes a value for `Degree,' which refers on a
scale of 1 to 10 the range of a channel in the period under consi-
deration compared to the total range of price movement. It also looks
for the last closing price to be within the channel, otherwise zeroed.
The `Index' is the `Degree' weighted for volatility.  Generally, the
the higher the index, the more suitable is the stock for trading as
a `rolling stock' between channel high and low points.

Results for PAR TECHNOLOGY CORP.:
Symbol? PAR
Total Months Available: 110
       Months in Cycle?   4

Months Covered by Periods:  12

Period 1           Period 2          Period 3
   H1      L1        H2      L2        H3      L3
   7.09    4.30      5.59    4.69      7.92    5.24

RANGE   =   7.92  TO    4.30            Close =   8.16
CHANNEL =   5.59  TO    5.24           Degree =   1
Volatility =   4.29%                    Index =   0
Channel Chart



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MACD Histogram Divergence

The theory is that connecting the two most recent peaks or valleys of the MACD histogram will signal the direction of the next major move.



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Intraday Chart

2 Days:



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Val Idea

2 out of 8 favorable, (negative opinion.)

Val Idea


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Stock Consultant

Stock Consultant Stock Consultant



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Point & Figure Chart

P & F Chart


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Wall Street Analyzer









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Marketspace Chart

Marketspace Chart



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Time Series Forecast

Time Series 1 Time Series 2


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Neural Network Prediction

"Neurostock" can only track long trades. Therefore its performance, as tracked by itself on stocks which are consistently falling, may not appear as good as it could if each "sell" signal were a "short sale."

Neural Chart
Heading
Neural Trades Neural Prediction



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Ultimate Trading Systems

3 out of 3 of the ultimate systems favor an upmove.


System Below:
Short term outlook: Positive: Bright Green, Negative: Bright Red
Long term outlook: Postive: Dark Green, Negative: Dark Red.




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Recommendation

Decision Weighting Factors
FactorsWeighted Points
News + 1
Comparison - 1
Industry - 1
Bond Issue 0
Zenith Index + 1
Non-GAAP vs. GAAP Earnings + 1
Cash Flow + 1
Average to Current P/E + 1
Ratios + 1
Market Grader - 1
Intrinsic Value DCF - 1
Book Value - 1
Projected Earnings - 1
Research Reports + 1
Analysts - 1
Executive Perquisites + 1
Insider Activity + 1
Institutional Activity - 1
Management Reporting + 1
Short Interest - 1
Sentiment + 1
Standard & Poor's - 1
Moving Average + 1
Right Time Study + 1
MACD Histogram Divergence + 1
Val Idea - 1
Stock Consultant - 1
Point & Figure + 1
Wall Street Analyzer + 1
Marketspace Chart + 1
Time Series Chart + 1
Neural Network - 1
Stock Options - 1
Ultimate Trading Systems + 1
Total + 5
Place 3,600 shares of Par Technologies, Inc. (PAR) on the Active List.