02-10-2018: Shoe Carnival, Inc. (SCVL): Strong Valuation Despite Low Margins

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Recommendation

Shoe Carnival, Inc.

Shoe Carnival, Inc. (SCVL) is one of the nation's largest retailer of shoes. Students of economics learn early about the "price/elasticity curve" which says that if you sell something cheaply enough, you can increase sales volume but lose money by giving stuff away. In recent years analysts have complained by SCVL's profit margins being too low. One activist shareholder has been agitating for a change in top management. The company has 424 stores in 35 states and Puerto Rico. Its shoes may be made in China, but its stores are entirely "domestic."

The first thing that jumps out at us is an incredibly strong Zenith Index, indicating strong fundamentals. News stories on this stock are rather bland, including stock share buybacks, new store openings, sales events, director changes, and little else. But the fiscal management is credible with strong current and quick ratios, no long-term debt, and conservative fiscal management.

The company's website is entirely devoted to e-commerce marketing, with little or no evidence of concern for shareholders as we judge it, namely a CEO Letter or glitzy annual report, shareholder presentations, or other indications beside a recorded conference call that plays back only on the latest operating systems.

Dimensional Fund Advisors is a major shareholder, a good sign for us, although it is unloading some shares recently. Institutions as a whole are net acquirers even in this late bull market.

Researchers are negative on this stock, although Standard & Poor's goes the other way in giving it its highest rating. Because the stock's chart pattern looks very weak, we think researchers and analysts may have been overly influenced by sentiment causing them to miss a strong "value" play. Clearly, the biggest problem with this stock is margins.

Analysts appear a little more up-to-date and favorable. We think in comparing SCVL to other clothing and footwear retailers, the whole industry group has looked weak in the past couple of years with lots of competition. As things improve, we think SCVL may be "dragged up" with the group faster than those stocks already poised near the top of their recent ranges. This stock appears to us to have been a "former" channeling or trading stock ready to break out of the top of its recent trading range. We think it poses relatively low risk, unlike some of its more high-flying competitors.

Management seems relatively modestly compensated, especially for a company this size, and there has been substantial insider buying, a relative rarity in American corporations.

Some of our indicators remain flatly neutral such as Stock Consultant or Val Idea. This could actually suggest to us a low risk situation within a trading range that is sufficiently volatile to offer opportunities, mainly to the upside. 



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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.

Shoe Carnival, Inc. (SCVL)                                Exchange: Nasdaq
7500 East Columbia Street
Evansville, IN 47715             Sector: Services
United States                    Industry:Apparel Stores

Shoe Carnival, Inc., together with its subsidiaries, operates as family
footwear retailer in the United States. It provides various dress,
casual, and athletic footwear products for men, women, and children, as
well as accessories, including socks, belts, shoe care items, handbags,
sport bags, backpacks, jewelry, scarves, and wallets. As of November 16,
2017, the company operated 424 stores in 35 states and Puerto Rico. It
sells its products through online shopping at shoecarnival.com. Shoe
Carnival, Inc. was founded in 1978 and is headquartered in Evansville,
Indiana.

Last Trade:  22.60                           52-Week Range:  28.38 -  15.08
Employees: 2,400                             Avg.Volume:     338,159 Shares

Corporate Governance:
Pillar scores are Audit: 2; Board: 4; Shareholder Rights: 5; Compensation: 4.
         (A lower number means less governance risk.)

EPS:  1.30    Dividend Amount: $%203.00          Yield:  1.35%
             Ex-Dividend Date: Jan 5, 2018     Payout Ratio:  21.48

Key Statistics:

    Trailing P/E:  17.90              Forward P/E (est.):  12.48
                                           Target Price:  29.20

Qrtly Stock Price Growth (yoy): -15.51%               Beta:   0.15
Qrtly S&P Index   Growth (yoy):   4.70%        Short Ratio:   8.99%
    Qrtly Revenue Growth (yoy):  16.78%         Shares Out:  16950000
   Qrtly Earnings Growth (yoy):   0.00%

          Book Value:  18.26                    Debt/Equity:   0.00%
    Price/Book Value:   1.28        Operating Profit Margin:   4.27%
         Price/Sales:   0.39                  Profit Margin:   2.17%
         Market Cap:     395,655,000       Return on Equity:   6.87%
    Enterprise Value:     348,330,000      Return on Assets:   5.91%

    Operating Cash Flow:     51,300,000
         Free Cash Flow:     33,010,000



Annual Income Statement:                          (All numbers in thousands)
  Period Ending                             01/28/201    1/30/2016   1/31/2015

  Total Revenue                              1,001,102     983,968     940,162
  Cost of Revenue                              711,867     693,452     666,483
  Gross Profit                                 289,235     290,516     273,679

Operating Expenses:
  Research & Development                             0           0           0
  Selling, General & Administrative            251,323     243,883     231,826
  Non-Recurring Expenses                             0           0           0
  Other Operating Expenses                           0           0           0
  Total Operating Expenses                           0           0           0

Operating Income or Loss                        37,912      46,633      41,853

Income from Continuing Operations:
  Total Other Income/Expenses Net                    6          39          14
  Earnings Before Interest & Taxes              37,918      46,672      41,867
  Interest Expense                                 169         168         165
  Income Before Taxes                           37,749      46,504      41,702
  Income Tax Expense                            14,232      17,737      16,175
  Minority Interest                                  0           0           0

Net Income from Continuing Op.s                 23,517      28,767      25,527

Non-recurring Events:
  Discontinued Operations                            0           0           0
  Extraordinary Items                                0           0           0
  Effect of Accounting Changes                       0           0           0
  Other Items                                        0           0           0
  Net Income                                    23,517      28,767      25,527
  Preferred Stock & Other Adjustments                0           0           0

Net Income Avail to Common Shares               23,517      28,767      25,527



Annual Cash Flow Statement:                   (All numbers in thousands)
  Period Ending                         01/28/201      1/30/2016     1/31/2015

  Net Income                                23,517        28,767        25,527

Operating Activities:
  Depreciation                              23,699        23,078        20,063
  Adjustments to Net Income                  6,441         3,870         8,855
  Changes in Accounts Recv'bls              -2,293           588         1,409
  Changes in Liabilities                      -982         6,530         6,838
  Changes in Investories                    13,232        -5,001        -3,076
  Changes in other Oper'g Acts                 175           723        -1,962

Total Cash Flow f Operations                63,789        58,555        57,654

Investing Activities:
  Capital Exenditures                      -21,832       -27,901       -33,543
  Investments                                    0           250           250
  Other Cash Flows fr Investing                  0             0           836

Total Cash Flows from Investing            -21,832       -27,651       -32,457

Financing Activities:
  Dividends Paid                            -5,028        -5,037        -4,828
  Sale of Purchase of Stock                -42,802       -18,519        -7,301
  Net Borrowings                                 0             0             0
  Other Cash Flows fr Financing                  0             0           836

Total Cash Flows from Financing            -47,827       -23,466       -12,074

  Effect of Exchange Rate Chg                    0             0             0

Change in Cash & Cash Equiv.                -5,870         7,438        13,123



Annual Balance Sheets:                              (All Numbers in Thousands)
  Period Ending                          01/28/201      1/30/2016     1/31/2015
Current Assets:
  Cash & Cash Equivalents                    62,944        68,814        61,376
  Short Term Investments                          0             0             0
  Net Receivables                             4,424         3,192         3,885
  Inventory                                 279,646       292,878       287,877
  Other Current Assets                        4,737         5,193         5,991
  Total Current Assets                      351,751       370,077       359,129

  Long-Term Investments                           0             0             0
  Property, Plant & Equipt                   96,216       103,386       101,294
  Goodwill                                        0             0             0
  Intangible Assets                               0             0             0
  Accumulated Amortization                        0             0             0
  Other Assets                                  911           472           366
  Deferred LT Asset Charges                   9,600         7,158         4,227

Total Assets                                458,478       481,093       465,016

Current Liabilities:
  Accounts Payable                           86,296        87,934        83,122
  Current Portion LT Debt                         0             0             0
  Other Current Liabilities                       0             0             0
  Total Current Liabilities                  86,296        87,934         83,122

  Long Term Debt                             86,296        87,934        83,122
  Other Liabilities                               0             0             0
  Deferred LT Liab. Charges                       0             0             0
  Minority Interest                               0             0             0
  Negative Goodwill                               0             0             0

Total Liabilities                           139,963        99,708       133,818

Stockholder Equity:
  Misc. Options, Warrants                         0             0             0
  Redeemable Preferred Stock                      0             0             0
  Preferred Stock                                 0             0             0
  Common Stock                                  206           206           207
  Retained Earnings                         312,641       294,308       270,686
  Treasury Stock                            -59,237       -21,517        -7,084
  Capital Surplus                            65,272        66,805        67,389
  Other Stockhohlder Equity                       0             0             0
  Total Stockholder Equity                  318,882       339,802       331,198

Net Tangible Assets                         318,882       339,802       331,198



Shoe Carnival, Inc. (SCVL)                  [Indices near +3.0, near zero,
                                            or < zero bear special attention.]
P/E Ratio Tests:
P/E Ratio < 28?            1.5642          P/E Ratio > 5?             1.0000
P/E Ratio Vs Growth Rate:  0.0000          Forward P/E Ratio < 28?    2.2436
Price/Sales Ratio < 2.3?   3.0000          Inventory/Sales < 5%?      0.1790
Sales < $1 Billion?        0.9989          Operating Margin < 7.5%?   1.7564

Balance Sheet Tests:
Debt/Equity < 0.40?        1.0000          Long-Term Debt Service:    3.0000
LTD Being Reduced?         0.0000          Short-Term Debt Service:   3.0000
Current Ratio > 2?         2.0380          Working Capital >= 1.5?    0.3729
Leverage Ratio < 20%?      3.0000          Debt/Assets < 1?           3.0000
Quick Ratio > 1?           3.0000          Inventory Turnover > 1?    1.1127
Share Equity Increase:     1.9644          Market Cap.< 1.5 Billion?  3.0000
                                           Intangibles < 3% Assets?   3.0000
Income Tests:
Profit Margin < 7.5%?      0.2893          EPS Annual Growth > 10%?   0.1223
Dividend Yield > 2.0%?     1.4815          EPS 3-yr Growth > 15?      0.1628
Enterprise Value/Revenue   0.3952          EPS Growth Consistent?     0.0000
Enterprise Value/EBITDA:   3.0000          Collection < 45 days?      3.0000
EPS Qrtly Growth > 10%?    0.0000          Gross Pft/Cur. LTD > 1?    3.0000
                                           Borrowing Int. Rate < 6%?  3.0000
Stock Performance Tests:
Volatility > 25%?          1.8746          % Held by Insiders < 5%?   0.1485
Beta > 1.25?               0.1200          % Held by Institut. < 50?  0.7145
50 Da MA > 200 Da MA?      0.4553          % Held by Institut. > 30?  2.3327
52-Wk Change vs. S&P 500: -0.9243          Short Ratio > 5?           1.7980
Price/Book Value < 3?      2.4239          Short % of Float > 20?     1.1460
Return on Assets > 17%?    0.3476          Average Volume > 100,000?  3.0000

Cash Flow Tests:
Oper. C.F. > Lever'd C.F:  1.5541          Positive Free Cash Flow?   3.0000
Positive Oper. Cash Flow?  3.0000          Price to C.F.Ratio < 14?:  3.0000
                                           Cash Flow / Assets > 10%?  2.9107

SCVL   Shoe Carnival, Inc.                 Overall Zenith Index:      1.6248


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Financial Statements

SHOE CARNIVAL INC  (SCVL)                   INCOME STATEMENT

Fiscal year ends in January.                         2013-01         2014-01         2015-01         2016-01         2017-01             TTM           

Revenue                                          854,998,016     884,785,024     940,161,984     983,968,000   1,001,102,016   1,010,123,008
Cost of revenue                                  597,521,024     625,468,032     666,483,008     693,452,032     711,867,008     719,633,984
Gross profit                                     257,476,992     259,316,992     273,679,008     290,516,000     289,235,008     290,488,992


Operating expenses
Sales, General and administrative                208,983,008     215,650,000     231,826,000     243,883,008     251,323,008     254,443,008
Total operating expenses                         208,983,008     215,650,000     231,826,000     243,883,008     251,323,008     254,443,008

Operating income                                  48,494,000      43,667,000      41,853,000      46,633,000      37,912,000      36,046,000
Interest Expense                                     273,000         173,000         165,000         168,000         169,000         290,000
Other income (expense)                                32,000          12,000          14,000          39,000           6,000           3,000
Income before income taxes                        48,253,000      43,506,000      41,702,000      46,504,000      37,749,000      35,759,000
Provision for income taxes                        18,915,000      16,635,000      16,175,000      17,737,000      14,232,000      13,855,000
Net income from continuing operations             29,338,000      26,871,000      25,527,000      28,767,000      23,517,000      21,904,000
Net income                                        29,338,000      26,871,000      25,527,000      28,767,000      23,517,000      21,904,000
Preferred dividend                                         0               0               0         566,000               0        -187,000
Net income available to common shareholders       29,338,000      26,871,000      25,527,000      28,201,000      23,517,000      22,091,000

Earnings per share
Basic                                                   1.44            1.33            1.27            1.45            1.28            1.35 
Diluted                                                 1.43            1.32            1.27            1.45            1.28            1.35 

Weighted average shares outstanding
Basic                                             19,911,000      19,926,000      19,777,000      19,417,000      18,017,000      16,567,250
Diluted                                           19,972,000      19,947,000      19,791,000      19,427,000      18,022,000      16,573,000

____________________________________________________________________________________________________________________________________________


SHOE CARNIVAL INC  (SCVL)                   BALANCE SHEET

Fiscal year ends in January.                         2013-01         2014-01         2015-01         2016-01         2017-01             

Assets

Current assets

Cash

Total cash                                        45,756,000      48,253,000      61,376,000      68,814,000      62,944,000

Receivables                                        2,152,000       4,337,000       2,928,000       2,131,000       4,424,000
Inventories                                      272,281,984     284,800,992     287,876,992     292,878,016     279,646,016
Deferred income taxes                              2,914,000       4,634,000       5,184,000       1,061,000               0
Other current assets                               4,918,000         490,000       1,764,000       5,193,000       4,737,000
Total current assets                             328,022,016     342,515,008     359,128,992     370,076,992     351,751,008

Non-current assets

Property, plant and equipment
Fixtures and equipment                           124,511,000     135,056,992     142,060,000     149,340,992     154,391,008
Other properties                                  75,796,000      85,786,000      98,421,000     104,220,000     110,787,000
Property and equipment, at cost                  200,307,008     220,843,008     240,480,992     253,560,992     265,178,000
Accumulated Depreciation                        -122,943,000    -130,650,000    -139,187,008    -150,175,008    -168,962,000
Property, plant and equipment, net                77,364,000      90,193,000     101,294,000     103,386,000      96,216,000
Deferred income taxes                                999,000               0               0       7,158,000       9,600,000

Other long-term assets                               811,000       4,143,000       4,593,000         472,000         911,000
Total non-current assets                          79,174,000      94,336,000     105,887,000     111,016,000     106,727,000

Total assets                                     407,196,000     436,851,008     465,016,000     481,092,992     458,478,016 

Liabilities and stockholders' equity

Liabilities

Current liabilities
Accounts payable                                  65,026,000      62,671,000      67,999,000      72,086,000      67,808,000
Taxes payable                                              0               0               0       1,902,000       1,362,000
Accrued liabilities                               16,995,000      14,988,000      15,123,000      13,946,000      17,126,000
Total current liabilities                         82,021,000      77,659,000      83,122,000      87,934,000      86,296,000

Non-current liabilities
Accrued liabilities                                7,475,000       9,224,000      10,505,000      11,224,000      11,255,000
Other long-term liabilities                       25,332,000      33,096,000      40,191,000      42,133,000      42,045,000
Total non-current liabilities                     32,807,000      42,320,000      50,696,000      53,357,000      53,300,000

Total liabilities                                114,828,000     119,979,000     133,818,000     141,291,008     139,596,000 

Stockholders' equity

Common stock                                         205,000         205,000         207,000         206,000         206,000
Additional paid-in capital                        66,533,000      66,600,000      67,389,000      66,805,000      65,272,000
Retained earnings                                228,112,992     250,070,000     270,686,016     294,308,000     312,640,992
Treasury stock                                    -2,483,000          -3,000      -7,084,000     -21,517,000     -59,237,000
Total stockholders' equity                       292,368,000     316,872,000     331,198,016     339,801,984     318,881,984
Total liabilities and stockholders' equity       407,196,000     436,851,008     465,016,000     481,092,992     458,478,016

____________________________________________________________________________________________________________________________________________


SHOE CARNIVAL INC  (SCVL)                   Statement of CASH FLOW

Fiscal year ends in January. USD.                    2013-01         2014-01         2015-01         2016-01         2017-01             TTM           

Cash Flows From Operating Activities
Net income                                        29,338,000      26,871,000      25,527,000      28,767,000      23,517,000      21,904,000
Depreciation & amortization                       15,955,000      17,428,000      20,063,000      23,078,000      23,699,000      23,945,000
Amortization of debt discount/premium and is         628,000               0               0               0               0               0
Investment/asset impairment charges                        0       1,180,000       1,104,000       1,770,000       4,794,000       6,125,000
Deferred income taxes                             -3,347,000        -721,000        -550,000      -3,035,000      -1,381,000      -2,606,000
Stock based compensation                           4,049,000       3,295,000       1,064,000       3,702,000       3,822,000       2,457,000
Accounts receivable                                  470,000      -2,135,000       1,409,000         588,000      -2,293,000      -2,931,000
Inventory                                        -34,627,000     -12,519,000      -3,076,000      -5,001,000      13,232,000      11,990,000
Other working capital                              6,761,000      -3,296,000       4,876,000       7,253,000        -807,000      -8,318,000
Other non-cash items                               6,623,000       8,517,000       7,237,000       1,433,000        -794,000      -1,265,000
Net cash provided by operating activities         25,850,000      38,620,000      57,654,000      58,555,000      63,789,000      51,301,000

Cash Flows From Investing Activities
Investments in property, plant, and equipmen     -25,977,000     -30,966,000     -33,543,000     -27,901,000     -21,832,000     -21,114,000
Property, plant, and equipment reductions                  0               0         836,000               0               0               0
Other investing charges                              200,000         200,000         250,000         250,000               0               0
Net cash used for investing activities           -25,777,000     -30,766,000     -32,457,000     -27,651,000     -21,832,000     -21,114,000

Cash Flows From Financing Activities
Common stock issued                                2,420,000         278,000         287,000         391,000         223,000         233,000
Repurchases of treasury stock                     -4,716,000        -953,000      -7,533,000     -18,824,000     -42,604,000     -37,608,000
Cash dividends paid                              -23,460,000      -4,867,000      -4,828,000      -5,037,000      -5,028,000      -4,851,000
Other financing activities                           837,000         185,000               0           4,000        -418,000        -420,000
Net cash provided by (used for) financing        -24,919,000      -5,357,000     -12,074,000     -23,466,000     -47,827,000     -42,646,000

Net change in cash                               -24,846,000       2,497,000      13,123,000       7,438,000      -5,870,000     -12,459,000
Cash at beginning of period                       70,602,000      45,756,000      48,253,000      61,376,000      68,814,000      33,509,000
Cash at end of period                             45,756,000      48,253,000      61,376,000      68,814,000      62,944,000      21,050,000

Free Cash Flow
Operating cash flow                               25,850,000      38,620,000      57,654,000      58,555,000      63,789,000      51,301,000
Capital expenditure                              -25,977,000     -30,966,000     -33,543,000     -27,901,000     -21,832,000     -21,114,000
Free cash flow                                      -127,000       7,654,000      24,111,000      30,654,000      41,957,000      30,187,000
____________________________________________________________________________________________________________________________________________




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Average to Current P/E Ratios
              (SCVL)       Shoe Carnival Inc.

                               2013    2014    2015    2016    2017

          Annual Earnings:     1.43    1.32    1.27    1.45    1.28
Average Price During Year:    23.51   21.75   25.58   25.47   21.95

                P/E Ratio:    16.44   16.48   20.14   17.56   17.15

 Average 5-Year P/E Ratio  =  17.55
             Current Price =  23.28

Previous 5 Quarter Earnings:   0.54   -0.05    0.48    0.24    0.66

           Current Annualized (Last Four Quarters) Earnings =  1.38
                                                           ________
                                 Average PE / Current PE =     1.04
                                                           --------

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


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Financial Ratios

. . . . . . . . . . . . Lowest to Highest, Compared to Industry



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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

Tangible Book Value:

Book Value



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Projected Earnings

Earnings Estimates
Earnings Estimates



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Analysts' Opinions

Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 1
Analysts' Opinion 2



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Insider Activity

Insiders Chart Insider Trades
Insider Trades
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

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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 SHOE CARNIVAL INC:
Symbol? SCVL
Total Months Available:  25
       Months in Cycle?   4

Months Covered by Periods:  12

Period 1           Period 2          Period 3
   H1      L1        H2      L2        H3      L3
  27.95   17.56     23.75   15.07     28.38   17.94

RANGE   =  28.38  TO   15.07            Close =  22.60
CHANNEL =  23.75  TO   17.94           Degree =   4
Volatility =  25.71%                    Index =  10
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

4 out of 8 favorable, (neutral 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

2 out of 3 of the ultimate systems favor a downmove.


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
Tangible 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
MACD Histogram Divergence - 1
Val Idea 0
Stock Consultant 0
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 + 7
Place 1,305 shares of Shoe Carnival, Inc. (SCVL) on the Active List.