The long-term investor command center. One ticker, the whole case — a Quality / Value / Momentum / Smart-Money read on top of valuation-in-context, ROIC & moat, dividend health, trend, financial health, and who’s buying. Built only from SEC filings and end-of-day prices. Glass-box, no invented numbers.
P/E vs its last 12 months (our price history): 11.8 low → 21.8 high
Current price sits at the 24th percentile of that window — near the bottom (cheaper). We only compare against the price history we own (no paid multi-year multiples — nothing invented).
●Going-concern warningAuditor flagged substantial doubt about the company continuing for the next 12 months — a raise is usually required.
●Earnings-manipulation riskBeneish M-Score (-1.49) is above the threshold — a screen for earnings-quality review, not an accusation (fast growers can trip it).
●Weak fundamentalsPiotroski F-Score of 2/9 — most quality checks are failing.
Educational tools — not financial advice. Fundamentals from SEC EDGAR (XBRL); prices are end-of-day (Databento). Scores are a transparent blend of the components shown, computed on our own data — a research aid, not a recommendation.