UPBD

Upbound Group, Inc. (UPBD)
Technology • Software - Application • $18.98 • MCap: 1,106,522,624 🌐
https://www.upbound.com • Upbound Group, Inc., a technology and data-driven company, provides financial solutions in the United States, Puerto Rico, and Mexico. It operates through four segments: Acima, Rent-A-Center, Brigit, and Mexico. The company also provides furniture, including mattresses, tires, consumer electronics, appliances, tools, handbags, computers, and accessories. In addition, it offers merchandise on an installment sales basis; and the lease-to-own transaction to consumers who do not qualify for traditional financing, the lease-to-own transaction through staffed or unstaffed kiosks located in third-party retailer's locations, and other virtual options. Further, the company provides various financial health products and tools through mobile and web applications. It operates retail installment sales stores under the Get It Now and Home Choice names; lease-to-own and franchising location under the Rent-A-Centre and RimTyme trade names; and company-owned stores, franchise stores, and e-commerce platform through rentacenter.com, getitnowstores.com, and homechoicestores.com. The company was formerly known as Rent-A-Center, Inc. and changed its name to Upbound Group, Inc. in February 2023. Upbound Group, Inc. was incorporated in 1986 and is based in Plano, Texas.
Buy Decision Core
Total Score
59
Business Quality
9
Financial Strength
10
Growth Outlook
15
Momentum
4
Price Action
Current
18.98
52W High
25.22
52W Low
15.09
Above 50DMA
20.12 (-5.65%)
Above 200DMA
18.62 (1.91%)
Relative Strength
Relative Strength
0.0
RS 3M
0.06
RS 6M
0.01
RS 9M
0.07
RS 12M
-0.19
Fundamentals
Revenue Growth
0.00%
Earnings Growth
0.42%
ROE
0.13%
ROA
0.07%
Valuation
PE (Fwd)
4.12
PEG
1.39
P/B
1.51
Upside
48.84%
Risk
Beta
1.77
Short %
0.15
Risk Score
3.00
Analyst
Rating
buy
Target
28.25
Beta
1.77
Analysts
0


Total Score
59
Upside
48.84%
Relative Strength
0.0
Beta
1.77
Why Buy?
  • Trading above 200 DMA
  • Analyst upside exceeds 15%
Key Risks
  • High volatility (Beta > 1.5)
  • Weak long-term relative strength
Score Breakdown
Business
9
Financial
10
Growth
15
Valuation
15
Risk
2
Momentum
4
Technical
52W High: 25.22
52W Low: 15.09
Above 50DMA: -5.65%
Above 200DMA: 1.91%
Valuation
Forward PE: 4.12
PEG: 1.39
P/B: 1.51
Upside: 48.84%
Risk
Beta: 1.77
Short Float: 0.15%
ROE: 0.13%
ROA: 0.07%