PUMP

ProPetro Holding Corp.

9.69
USD
-2.02%
9.69
USD
-2.02%
7.25 16.93
52 weeks
52 weeks

Mkt Cap 1.01B

Shares Out 102.06M

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Validea Kenneth Fisher Strategy Daily Upgrade Report - 9/21/2022

The following are today's upgrades for Validea's Price/Sales Investor model based on the published strategy of Kenneth Fisher. This value strategy rewards stocks with low P/S ratios, long-term profit growth, strong free cash flow and consistent profit margins. CHEWY INC (CHWY) is a large-cap value stock in the Retail (Specialty) industry. The rating according to our strategy based on Kenneth Fisher changed from 48% to 60% based on the firm’s underlying fundamentals and the stock’s valuation. A score of 80% or above typically indicates that the strategy has some interest in the stock and a score above 90% typically indicates strong interest. Company Description: Chewy, Inc. is a pure play e-commerce company geared toward pet products for dogs, cats, fish, birds, small pets, horses, and reptiles. The Company's brands include A Pet Hub, A&E Cage Company, A Pet's Life, ABO Gear, Bark and Slumber, B&G Martin, C&S, KONG, Nutro, ORIJEN, NexGard, and Frisco. It offers a selection of quality pet food, treats and supplies, and pet healthcare products. The Company's product offerings include Food products such as dry food, wet food, veterinary diets, raw food; Treat products, such as soft and chewy treats, biscuits, cookies and crunchy treats, dental treats, jerky treats, bones, bully sticks and natural chews; Healthcare products such as Dental care, DNA Kits, Heartworm Prevention & Dewormers, Milk Replacers and Eye Care, and Vitamin and supplements, such as Hip & Joint, Digestive Health & Probiotics, Multivitamins, Anxiety & Calming, Heart & Liver. The Company serves its customers through its retail Website, www.chewy.com, and its mobile applications. The following table summarizes whether the stock meets each of this strategy's tests. Not all criteria in the below table receive equal weighting or are independent, but the table provides a brief overview of the strong and weak points of the security in the context of the strategy's criteria. Detailed Analysis of CHEWY INC PROPETRO HOLDING CORP (PUMP) is a small-cap value stock in the Oil Well Services & Equipment industry. The rating according to our strategy based on Kenneth Fisher changed from 50% to 80% based on the firm’s underlying fundamentals and the stock’s valuation. A score of 80% or above typically indicates that the strategy has some interest in the stock and a score above 90% typically indicates strong interest. Company Description: ProPetro Holding Corp. is an oilfield services company. The Company provides hydraulic fracturing and other complementary services to upstream oil and gas companies engaged in the exploration and production of North American unconventional oil and natural gas resources. The Company's operations are primarily focused on the Permian Basin. The Company operates through its pressure pumping and all other segments. The Company owns and operates a fleet of mobile hydraulic fracturing units and other auxiliary equipment to perform fracturing services. It also provides personnel and services that are tailored to meet each of its customers needs. The Company is also focused on complementary services that provide its customers services, including cementing and other related services. Its complementary services are provided through various contractual arrangements, including on a turnkey contract basis. The following table summarizes whether the stock meets each of this strategy's tests. Not all criteria in the below table receive equal weighting or are independent, but the table provides a brief overview of the strong and weak points of the security in the context of the strategy's criteria. Detailed Analysis of PROPETRO HOLDING CORP CALIFORNIA RESOURCES CORP (CRC) is a mid-cap value stock in the Oil & Gas Operations industry. The rating according to our strategy based on Kenneth Fisher changed from 58% to 80% based on the firm’s underlying fundamentals and the stock’s valuation. A score of 80% or above typically indicates that the strategy has some interest in the stock and a score above 90% typically indicates strong interest. Company Description: California Resources Corporation is an independent oil and natural gas exploration and production company operating properties within California. The Company has the lowest carbon intensity production in the United States, which is focused on land, mineral and technical resources for decarbonization by developing carbon capture and storage (CCS) and other emissions-reducing projects. The CCS project at the Elk Hills Field is referred to as Carbon TerraVault I. These projects inject CO2 from industrial sources into depleted underground oil and gas reservoirs and permanently store CO2 deep underground. The Company has operations in oil and gas basins, including San Joaquin Basin, Los Angeles Basin, and Sacramento Basin. San Joaquin Basin operates and develops approximately 44 fields and holds approximately 1.3 million net mineral acres in the San Joaquin Basin. Los Angeles Basin holds approximately 30,000 net mineral acres. Sacramento Basin operates approximately 53 fields. The following table summarizes whether the stock meets each of this strategy's tests. Not all criteria in the below table receive equal weighting or are independent, but the table provides a brief overview of the strong and weak points of the security in the context of the strategy's criteria. Detailed Analysis of CALIFORNIA RESOURCES CORP About Kenneth Fisher: The son of Philip Fisher, who is considered the "Father of Growth Investing", Kenneth Fisher is a money manager, bestselling author, and longtime Forbes columnist. The younger Fisher wowed Wall Street in the mid-1980s when his book Super Stocks first popularized the idea of using the price/sales ratio (PSR) as a means of identifying attractive stocks. According to his alma mater, Humboldt State University, Fisher is also one of the world's foremost experts on 19th century logging. Appropriately, Fisher's firm, Fisher Investments, is located in a lush forest preserve in Woodside, California, where the contrarian-minded Fisher says he and his employees can get away from Wall Street groupthink. About Validea: Validea is aninvestment researchservice that follows the published strategies of investment legends. Validea offers both stock analysis and model portfolios based on gurus who have outperformed the market over the long-term, including Warren Buffett, Benjamin Graham, Peter Lynch and Martin Zweig. For more information about Validea, click here The views and opinions expressed herein are the views and opinions of the author and do not necessarily reflect those of Nasdaq, Inc.

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