FND

Floor & Decor Holdings, Inc. (FND)
Consumer Cyclical • Home Improvement Retail • $56.79 • MCap: 6,138,667,008 🌐
https://www.flooranddecor.com • Floor & Decor Holdings, Inc., together with its subsidiaries, operates as a multi-channel specialty retailer of hard surface flooring and related accessories, and commercial surfaces seller in the United States. The company offers wood-based laminate flooring, vinyl, and engineered/composite rigid core vinyl; porcelain and ceramic tile, porcelain mosaics and tile slabs; grout, mortar, backer board, tools, adhesives, underlayments, moldings, and stair treads; and decorative tiles and mosaics, such as natural stone, porcelain, ceramic, glass, wall tile, and decorative trims. The company also provides solid prefinished and unfinished hardwood, engineered hardwood, bamboo, and wood countertops; marble, limestone, travertine, slate, ledger; and vanities, shower doors, bath accessories, faucets, sinks, custom countertops, bathroom mirrors, bathroom lighting, and kitchen cabinets. It sells products through its warehouse-format stores and five small-format design studios, as well as through Website, FloorandDecor.com. The company serves professional installers, commercial businesses, and homeowners. The company was formerly known as FDO Holdings, Inc. and changed its name to Floor & Decor Holdings, Inc. in April 2017. Floor & Decor Holdings, Inc. was founded in 2000 and is headquartered in Atlanta, Georgia.
Buy Decision Core
Total Score
33
Business Quality
7
Financial Strength
6
Growth Outlook
4
Momentum
0
Price Action
Current
56.79
52W High
90.42
52W Low
43.49
Above 50DMA
52.06 (9.08%)
Above 200DMA
60.05 (-5.43%)
Relative Strength
Relative Strength
-0.11
RS 3M
0.08
RS 6M
-0.25
RS 9M
-0.19
RS 12M
-0.26
Fundamentals
Revenue Growth
-0.01%
Earnings Growth
-0.18%
ROE
0.09%
ROA
0.03%
Valuation
PE (Fwd)
26.18
PEG
0
P/B
2.50
Upside
-4.35%
Risk
Beta
1.58
Short %
0.15
Risk Score
2.00
Analyst
Rating
hold
Target
54.32
Beta
1.58
Analysts
0


Total Score
33
Upside
-4.35%
Relative Strength
-0.11
Beta
1.58
Why Buy?
  • PEG Ratio below 1 (attractive valuation)
  • Trading above 50 DMA
Key Risks
  • Revenue growth is negative
  • Earnings growth is negative
  • High volatility (Beta > 1.5)
  • Weak long-term relative strength
Score Breakdown
Business
7
Financial
6
Growth
4
Valuation
11
Risk
2
Momentum
0
Technical
52W High: 90.42
52W Low: 43.49
Above 50DMA: 9.08%
Above 200DMA: -5.43%
Valuation
Forward PE: 26.18
PEG: 0
P/B: 2.50
Upside: -4.35%
Risk
Beta: 1.58
Short Float: 0.15%
ROE: 0.09%
ROA: 0.03%