Will UnitedHealth Stock Recover?
Shares of embattled health insurance giant UnitedHealth (NYSE:UNH) plummeted by…
| Company | Revenue Forecast | Earnings Forecast | Revenue Growth Forecast | Earnings Growth Forecast | Analyst Price Target Median |
|---|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
-- | -- | -- | -- | -- |
|
ARL
American Realty Investors, Inc.
|
-- | -- | -- | -- | -- |
|
BCDS
BlaqClouds, Inc.
|
-- | -- | -- | -- | -- |
|
HGPI
Horizon Group Properties, Inc.
|
-- | -- | -- | -- | -- |
|
NEN
New England Realty Associates LP
|
-- | -- | -- | -- | -- |
|
RFL
Rafael Holdings, Inc.
|
-- | -- | -- | -- | -- |
| Company | Price | Analyst Target | Market Cap | P/E Ratio | Dividend per Share | Dividend Yield | Price / LTM Sales |
|---|---|---|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
$8.01 | -- | $102M | 1.44x | $0.00 | 0% | 0.90x |
|
ARL
American Realty Investors, Inc.
|
$17.75 | -- | $286.7M | 49.78x | $0.00 | 0% | 5.85x |
|
BCDS
BlaqClouds, Inc.
|
$0.0065 | -- | $1.9M | -- | $0.00 | 0% | 21.63x |
|
HGPI
Horizon Group Properties, Inc.
|
$2.28 | -- | $22.4M | -- | $0.10 | 0% | 4.14x |
|
NEN
New England Realty Associates LP
|
$65.00 | -- | $227.2M | 19.55x | $0.40 | 2.46% | 2.64x |
|
RFL
Rafael Holdings, Inc.
|
$1.20 | -- | $38.5M | 17.20x | $0.00 | 0% | 42.07x |
| Company | Total Debt / Total Capital | Beta | Debt to Equity | Quick Ratio |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
48.56% | 1.047 | 209.05% | 0.96x |
|
ARL
American Realty Investors, Inc.
|
27.2% | 2.395 | 48.04% | 28.76x |
|
BCDS
BlaqClouds, Inc.
|
144.89% | 14.341 | 74.19% | 0.04x |
|
HGPI
Horizon Group Properties, Inc.
|
-- | -1.054 | -- | -- |
|
NEN
New England Realty Associates LP
|
115.95% | -0.515 | 205.12% | 0.14x |
|
RFL
Rafael Holdings, Inc.
|
0.77% | 0.961 | 1.4% | 3.83x |
| Company | Gross Profit | Operating Income | Return on Invested Capital | Return on Common Equity | EBIT Margin | Free Cash Flow |
|---|---|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
$9.3M | $5.9M | -26.11% | -43.72% | 21.07% | -$5.3M |
|
ARL
American Realty Investors, Inc.
|
$146K | -$1.6M | 0.69% | 0.86% | -12.26% | $8M |
|
BCDS
BlaqClouds, Inc.
|
-- | -$51.8K | -10.55% | -- | -222.32% | -$8.2K |
|
HGPI
Horizon Group Properties, Inc.
|
-- | -- | -- | -- | -- | -- |
|
NEN
New England Realty Associates LP
|
$9.3M | $4.7M | 3.06% | -- | 20.03% | $2.4M |
|
RFL
Rafael Holdings, Inc.
|
$181K | -$10.1M | -36.41% | -37% | -4225.42% | -$6.8M |
American Realty Investors, Inc. has a net margin of 0.98% compared to Star Holdings (United States)'s net margin of 2.49%. Star Holdings (United States)'s return on equity of -43.72% beat American Realty Investors, Inc.'s return on equity of 0.86%.
| Company | Gross Margin | Earnings Per Share | Invested Capital |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
32.96% | $0.14 | $553.7M |
|
ARL
American Realty Investors, Inc.
|
1.14% | $0.01 | $1B |
Star Holdings (United States) has a consensus price target of --, signalling downside risk potential of --. On the other hand American Realty Investors, Inc. has an analysts' consensus of -- which suggests that it could fall by --. Given that Star Holdings (United States) has higher upside potential than American Realty Investors, Inc., analysts believe Star Holdings (United States) is more attractive than American Realty Investors, Inc..
| Company | Buy Ratings | Hold Ratings | Sell Ratings |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0 | 0 | 0 |
|
ARL
American Realty Investors, Inc.
|
0 | 0 | 0 |
Star Holdings (United States) has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison American Realty Investors, Inc. has a beta of 0.695, suggesting its less volatile than the S&P 500 by 30.468%.
Star Holdings (United States) has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. American Realty Investors, Inc. offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Star Holdings (United States) pays -- of its earnings as a dividend. American Realty Investors, Inc. pays out -- of its earnings as a dividend.
Star Holdings (United States) quarterly revenues are $28.1M, which are larger than American Realty Investors, Inc. quarterly revenues of $12.8M. Star Holdings (United States)'s net income of $274K is lower than American Realty Investors, Inc.'s net income of $320K. Notably, Star Holdings (United States)'s price-to-earnings ratio is 1.44x while American Realty Investors, Inc.'s PE ratio is 49.78x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Star Holdings (United States) is 0.90x versus 5.85x for American Realty Investors, Inc.. Usually stocks with elevated PS ratios are considered overvalued.
| Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0.90x | 1.44x | $28.1M | $274K |
|
ARL
American Realty Investors, Inc.
|
5.85x | 49.78x | $12.8M | $320K |
BlaqClouds, Inc. has a net margin of 0.98% compared to Star Holdings (United States)'s net margin of -282.83%. Star Holdings (United States)'s return on equity of -43.72% beat BlaqClouds, Inc.'s return on equity of --.
| Company | Gross Margin | Earnings Per Share | Invested Capital |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
32.96% | $0.14 | $553.7M |
|
BCDS
BlaqClouds, Inc.
|
-- | -- | $2.2M |
Star Holdings (United States) has a consensus price target of --, signalling downside risk potential of --. On the other hand BlaqClouds, Inc. has an analysts' consensus of -- which suggests that it could fall by --. Given that Star Holdings (United States) has higher upside potential than BlaqClouds, Inc., analysts believe Star Holdings (United States) is more attractive than BlaqClouds, Inc..
| Company | Buy Ratings | Hold Ratings | Sell Ratings |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0 | 0 | 0 |
|
BCDS
BlaqClouds, Inc.
|
0 | 0 | 0 |
Star Holdings (United States) has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison BlaqClouds, Inc. has a beta of -12.357, suggesting its less volatile than the S&P 500 by 1335.696%.
Star Holdings (United States) has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. BlaqClouds, Inc. offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Star Holdings (United States) pays -- of its earnings as a dividend. BlaqClouds, Inc. pays out -- of its earnings as a dividend.
Star Holdings (United States) quarterly revenues are $28.1M, which are larger than BlaqClouds, Inc. quarterly revenues of $23.3K. Star Holdings (United States)'s net income of $274K is higher than BlaqClouds, Inc.'s net income of -$65.9K. Notably, Star Holdings (United States)'s price-to-earnings ratio is 1.44x while BlaqClouds, Inc.'s PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Star Holdings (United States) is 0.90x versus 21.63x for BlaqClouds, Inc.. Usually stocks with elevated PS ratios are considered overvalued.
| Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0.90x | 1.44x | $28.1M | $274K |
|
BCDS
BlaqClouds, Inc.
|
21.63x | -- | $23.3K | -$65.9K |
Horizon Group Properties, Inc. has a net margin of 0.98% compared to Star Holdings (United States)'s net margin of --. Star Holdings (United States)'s return on equity of -43.72% beat Horizon Group Properties, Inc.'s return on equity of --.
| Company | Gross Margin | Earnings Per Share | Invested Capital |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
32.96% | $0.14 | $553.7M |
|
HGPI
Horizon Group Properties, Inc.
|
-- | -- | -- |
Star Holdings (United States) has a consensus price target of --, signalling downside risk potential of --. On the other hand Horizon Group Properties, Inc. has an analysts' consensus of -- which suggests that it could fall by --. Given that Star Holdings (United States) has higher upside potential than Horizon Group Properties, Inc., analysts believe Star Holdings (United States) is more attractive than Horizon Group Properties, Inc..
| Company | Buy Ratings | Hold Ratings | Sell Ratings |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0 | 0 | 0 |
|
HGPI
Horizon Group Properties, Inc.
|
0 | 0 | 0 |
Star Holdings (United States) has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison Horizon Group Properties, Inc. has a beta of -0.218, suggesting its less volatile than the S&P 500 by 121.762%.
Star Holdings (United States) has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Horizon Group Properties, Inc. offers a yield of 0% to investors and pays a quarterly dividend of $0.10 per share. Star Holdings (United States) pays -- of its earnings as a dividend. Horizon Group Properties, Inc. pays out -- of its earnings as a dividend.
Star Holdings (United States) quarterly revenues are $28.1M, which are larger than Horizon Group Properties, Inc. quarterly revenues of --. Star Holdings (United States)'s net income of $274K is higher than Horizon Group Properties, Inc.'s net income of --. Notably, Star Holdings (United States)'s price-to-earnings ratio is 1.44x while Horizon Group Properties, Inc.'s PE ratio is --. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Star Holdings (United States) is 0.90x versus 4.14x for Horizon Group Properties, Inc.. Usually stocks with elevated PS ratios are considered overvalued.
| Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0.90x | 1.44x | $28.1M | $274K |
|
HGPI
Horizon Group Properties, Inc.
|
4.14x | -- | -- | -- |
New England Realty Associates LP has a net margin of 0.98% compared to Star Holdings (United States)'s net margin of -2.2%. Star Holdings (United States)'s return on equity of -43.72% beat New England Realty Associates LP's return on equity of --.
| Company | Gross Margin | Earnings Per Share | Invested Capital |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
32.96% | $0.14 | $553.7M |
|
NEN
New England Realty Associates LP
|
39.4% | -$0.15 | $440.2M |
Star Holdings (United States) has a consensus price target of --, signalling downside risk potential of --. On the other hand New England Realty Associates LP has an analysts' consensus of -- which suggests that it could fall by --. Given that Star Holdings (United States) has higher upside potential than New England Realty Associates LP, analysts believe Star Holdings (United States) is more attractive than New England Realty Associates LP.
| Company | Buy Ratings | Hold Ratings | Sell Ratings |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0 | 0 | 0 |
|
NEN
New England Realty Associates LP
|
0 | 0 | 0 |
Star Holdings (United States) has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison New England Realty Associates LP has a beta of 0.152, suggesting its less volatile than the S&P 500 by 84.759%.
Star Holdings (United States) has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. New England Realty Associates LP offers a yield of 2.46% to investors and pays a quarterly dividend of $0.40 per share. Star Holdings (United States) pays -- of its earnings as a dividend. New England Realty Associates LP pays out 35.87% of its earnings as a dividend. New England Realty Associates LP's payout ratio is sufficient to cover dividend payouts with earnings for the foreseeable future.
Star Holdings (United States) quarterly revenues are $28.1M, which are larger than New England Realty Associates LP quarterly revenues of $23.7M. Star Holdings (United States)'s net income of $274K is higher than New England Realty Associates LP's net income of -$521.8K. Notably, Star Holdings (United States)'s price-to-earnings ratio is 1.44x while New England Realty Associates LP's PE ratio is 19.55x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Star Holdings (United States) is 0.90x versus 2.64x for New England Realty Associates LP. Usually stocks with elevated PS ratios are considered overvalued.
| Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0.90x | 1.44x | $28.1M | $274K |
|
NEN
New England Realty Associates LP
|
2.64x | 19.55x | $23.7M | -$521.8K |
Rafael Holdings, Inc. has a net margin of 0.98% compared to Star Holdings (United States)'s net margin of -4082.08%. Star Holdings (United States)'s return on equity of -43.72% beat Rafael Holdings, Inc.'s return on equity of -37%.
| Company | Gross Margin | Earnings Per Share | Invested Capital |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
32.96% | $0.14 | $553.7M |
|
RFL
Rafael Holdings, Inc.
|
75.42% | -$0.19 | $89.8M |
Star Holdings (United States) has a consensus price target of --, signalling downside risk potential of --. On the other hand Rafael Holdings, Inc. has an analysts' consensus of -- which suggests that it could fall by --. Given that Star Holdings (United States) has higher upside potential than Rafael Holdings, Inc., analysts believe Star Holdings (United States) is more attractive than Rafael Holdings, Inc..
| Company | Buy Ratings | Hold Ratings | Sell Ratings |
|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0 | 0 | 0 |
|
RFL
Rafael Holdings, Inc.
|
0 | 0 | 0 |
Star Holdings (United States) has a beta of 0.000, which suggesting that the stock is 100% less volatile than S&P 500. In comparison Rafael Holdings, Inc. has a beta of 0.676, suggesting its less volatile than the S&P 500 by 32.364%.
Star Holdings (United States) has a quarterly dividend of $0.00 per share corresponding to a yield of 0%. Rafael Holdings, Inc. offers a yield of 0% to investors and pays a quarterly dividend of $0.00 per share. Star Holdings (United States) pays -- of its earnings as a dividend. Rafael Holdings, Inc. pays out -- of its earnings as a dividend.
Star Holdings (United States) quarterly revenues are $28.1M, which are larger than Rafael Holdings, Inc. quarterly revenues of $240K. Star Holdings (United States)'s net income of $274K is higher than Rafael Holdings, Inc.'s net income of -$9.8M. Notably, Star Holdings (United States)'s price-to-earnings ratio is 1.44x while Rafael Holdings, Inc.'s PE ratio is 17.20x. Generally a lower price-to-earnings ratio signals a stock is trading at a lower multiple of earnings and is a better value. Another key metric is the price-to-sales ratio, which for Star Holdings (United States) is 0.90x versus 42.07x for Rafael Holdings, Inc.. Usually stocks with elevated PS ratios are considered overvalued.
| Company | Price/Sales Ratio | Price/Earnings Ratio | Quarterly Revenue | Quarterly Net Income |
|---|---|---|---|---|
|
STHO
Star Holdings (United States)
|
0.90x | 1.44x | $28.1M | $274K |
|
RFL
Rafael Holdings, Inc.
|
42.07x | 17.20x | $240K | -$9.8M |
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