JG TERMINAL T1: Outpick Strategy
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SEZL Sezzle Inc. Common Stock

Financial Services · Financial - Credit Services

MKTCAP: $2B

2.9
Hold

COMPOSITE: 48.1

SEZL scores poorly with a 2.9/5.0 Quant Rating (Hold). Strongest factors: Growth (A, 91th %ile), Profitability (A, 88th %ile), Analyst Revisions (B+, 71th %ile). Weakest factors: Valuation (C, 28th %ile), Momentum (D-, 4th %ile).

Valuation

C 28%

Growth

A 91%

Profitability

A 88%

Momentum

D- 4%

Revisions

B+ 71%

Rating History

Valuation Metrics

Metric Value Percentile
Pe Fwd 12.38
28%
Pe Ttm 16.15
30%
Peg 0.24
43%
Ev Ebitda Ttm 8.37
52%
Ev Sales Ttm 4.95
24%
Price To Book 12.68
2%
Price To Sales Ttm 4.78
15%

Growth Metrics

Metric Value Percentile
Rev Growth Yoy 0.66
94%
Rev Growth Fwd 0.33
91%
Eps Growth Yoy 0.69
80%
Eps Growth Fwd 0.52
89%
Ebitda Growth Yoy 2.25
94%
Ocf Growth Yoy 4.13
95%

Profitability Metrics

Metric Value Percentile
Gross Margin 0.85
87%
Operating Margin 0.39
85%
Net Margin 0.30
86%
Ebitda Margin 0.59
89%
Roa 0.33
100%
Roic 0.57
99%
Fcf Margin 0.99
57%
Asset Turnover 1.13
98%

Momentum Metrics

Metric Value Percentile
Return 1M -15.50
4%
Return 3M -15.50
4%
Return 6M -15.50
4%
Return 12M -15.50
4%
Momentum Accel -171.0

Revisions Detail

Metric Value Percentile
Eps Up 90D 0
Eps Down 90D 0
Rev Up 90D 1
Rev Down 90D 0
Revision Score 2.3451169872748407e-06
Percentile 71.1