Validea Martin Zweig Strategy Daily Update Report – 03/11/2021

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THere are today’s updates for Validea Growth investor model based on the published strategy of Martin zweig. This strategy seeks growth stocks with a persistent acceleration in earnings and sales growth, reasonable valuations and low leverage.

MVB FINANCIAL CORP (MVBF) is a small capitalization security in the Regional Banks sector. The rating according to our strategy based on Martin Zweig has increased from 82% to 89% depending on the underlying fundamentals of the company and the valuation of the share. A score of 80% or more usually indicates that the strategy has some interest in the stock and a score above 90% generally indicates a strong interest.

Company Description: MVB Financial Corp. (MVB) is a financial holding company. MVB operates primarily through its wholly owned subsidiary, MVB Bank, Inc. (the Bank). Its principal business activities, through its subsidiaries, are primarily community banking and mortgage banking. Its segments include commercial and retail banking, mortgage banking and a financial holding company. It offers various products and services, such as debit cards, cashier’s checks, safe deposit box rental services, and no deposit investment services. Its loan portfolio includes commercial loans, consumer loans and real estate loans. Its commercial loans include commercial, commercial real estate, financial and agricultural loans. Its real estate loans include residential real estate loans, home equity lines of credit and construction mortgages. The Bank’s operational subsidiaries include Potomac Mortgage Group (PMG), MVB Insurance, LLC (MVB Insurance), MVB Community Development Corporation (MVB CDC) and ProCo Global, Inc. (ProCo).

The following table summarizes whether the title meets each of the tests for this strategy. Not all of the criteria in the table below are given the same weight or are independent, but the table gives a brief overview of the strengths and weaknesses of the title in the context of the strategy criteria.

P / E RATIO: PAST
REVENUE GROWTH IN RELATION TO EPS GROWTH: TO FAIL
SALES GROWTH RATE: PAST
CURRENT QUARTER PROFIT: PAST
QUARTERLY PROFIT ONE YEAR AGO: PAST
POSITIVE PROFIT GROWTH RATE FOR THE CURRENT QUARTER: PAST
PROFIT GROWTH RATE OVER THE PAST SEVERAL QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE GREATER THAN THE PREVIOUS THREE QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE ABOVE HISTORICAL GROWTH RATE: PAST
PERSISTENCE OF EARNINGS: TO FAIL
LONG-TERM EPS GROWTH: PAST
INSIDER TRADING: PAST

Detailed analysis of MVB FINANCIAL CORP

Full Guru Analysis for MVBF

Full Factor Report for MVBF

PZENA INVESTMENT MANAGEMENT, INC. (PZN) is a small-cap growth stock in the investment services industry. The rating according to our strategy based on Martin Zweig has increased from 69% to 85% depending on the underlying fundamentals of the company and the valuation of the share. A score of 80% or more usually indicates that the strategy has some interest in the stock and a score above 90% generally indicates a strong interest.

Company Description: Pzena Investment Management, Inc. is a holding company. The Company is the sole managing member of Pzena Investment Management, LLC. Pzena Investment Management, LLC is an investment management company. The Company is also the general partner of Pzena Investment Management, LP. The Company offers institutional investment products to public and corporate pension funds, endowments, foundations and certain mixed vehicles intended for institutional investors. The Company also provides access to some of its global and non-US strategies through private placement vehicles and collective investment trusts. Pzena Investment Management, LLC is its operating company. Pzena Investment Management, LLC consists of Class A and Class B units.

The following table summarizes whether the title meets each of the tests for this strategy. Not all of the criteria in the table below are given the same weight or are independent, but the table gives a brief overview of the strengths and weaknesses of the title in the context of the strategy criteria.

P / E RATIO: PAST
REVENUE GROWTH IN RELATION TO EPS GROWTH: PAST
SALES GROWTH RATE: PAST
CURRENT QUARTER PROFIT: PAST
QUARTERLY PROFIT ONE YEAR AGO: PAST
POSITIVE PROFIT GROWTH RATE FOR THE CURRENT QUARTER: PAST
PROFIT GROWTH RATE OVER THE PAST SEVERAL QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE GREATER THAN THE PREVIOUS THREE QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE ABOVE HISTORICAL GROWTH RATE: PAST
PERSISTENCE OF EARNINGS: TO FAIL
LONG-TERM EPS GROWTH: TO FAIL
INSIDER TRADING: PAST

Detailed analysis of PZENA INVESTMENT MANAGEMENT, INC.

Full Guru Analysis for PZN

Full Factor Report for PZN

HAVERTY FURNITURE COMPANIES, INC. (HVT) is a small cap value stock in the furniture and fittings industry. The rating according to our strategy based on Martin Zweig has increased from 69% to 85% depending on the underlying fundamentals of the company and the valuation of the share. A score of 80% or more usually indicates that the strategy has some interest in the stock and a score above 90% generally indicates a strong interest.

Business Description: Haverty Furniture Companies, Inc. is a retailer of residential furniture and accessories. The Company sells home furnishings through its retail stores and through its website, havertys.com. As of December 31, 2016, the Company had 124 stores in 16 states in the Southern and Midwestern regions. As at December 31, 2016, the Company’s retail store area totaled approximately 4.5 million square feet for 124 stores. It also offers financing through a third-party finance company, as well as an internal revolving charge credit plan. The Company’s points of sale are operated under the Havertys name. It offers ranges of mattresses, such as Sealy, Tempur-Pedic, Serta, Stearns & Foster and Beautyrest Black. The Company’s clients are women with a college education in middle to upper middle income households. The company’s stores are located in regions such as Florida, Texas, North Carolina, Tennessee and Maryland.

The following table summarizes whether the title meets each of the tests for this strategy. Not all of the criteria in the table below are given the same weight or are independent, but the table gives a brief overview of the strengths and weaknesses of the title in the context of the strategy criteria.

P / E RATIO: PAST
REVENUE GROWTH IN RELATION TO EPS GROWTH: TO FAIL
SALES GROWTH RATE: PAST
CURRENT QUARTER PROFIT: PAST
QUARTERLY PROFIT ONE YEAR AGO: PAST
POSITIVE PROFIT GROWTH RATE FOR THE CURRENT QUARTER: PAST
PROFIT GROWTH RATE OVER THE PAST SEVERAL QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE GREATER THAN THE PREVIOUS THREE QUARTERS: PAST
EPS GROWTH FOR THE CURRENT QUARTER MUST BE ABOVE HISTORICAL GROWTH RATE: PAST
PERSISTENCE OF EARNINGS: TO FAIL
LONG-TERM EPS GROWTH: PAST
TOTAL DEBT / EQUITY RATIO: PAST
INSIDER TRADING: PAST

Detailed analysis of HAVERTY FURNITURE COMPANIES, INC.

Complete Guru Analysis for HVT

Full factor ratio for HVT

More details on Validea’s Martin Zweig strategy

About Martin Zweig: Over the 15 years of monitoring, Zweig’s stock recommendations newsletter averaged 15.9% per year, during which time it was ranked number one on the basis of risk-adjusted returns by Hulbert Financial Digest. Zweig has managed both mutual funds and hedge funds during his career, and he put the wealth he has accumulated to interesting uses. He owned what Forbes reported to be New York’s most expensive apartment, a $ 70 million penthouse that sits atop the Pierre Hotel in Manhattan, and he’s a collector of all kinds of pop culture. and historical memorabilia – among his purchases are the weapon Clint Eastwood used in “Dirty Harry,” a stock certificate signed by Commodore Vanderbilt, and even two old-fashioned gas pumps similar to the ones he had. seen at a nearby gas station while growing up in Cleveland, according to published reports.

About Validea: Validea is an investment research service that tracks strategies published by investment legends. Validea offers both equity 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 on 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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