Consumer Finance
6 companies under coverage.
Consumer Finance
Synchrony Financial (SYF)
HOLD. 12-month probability-weighted target $75 (-6% vs spot). P/E Multiple explains 88% of Monte Carlo outcome variance.
SLM Corp (SLM)
HOLD. 12-month probability-weighted target $25 (-4% vs spot). P/E Multiple explains 88% of Monte Carlo outcome variance.
FirstCash Inc (FCFS)
SELL. 12-month probability-weighted target $206 (-13% vs spot). Gross Margin explains 48% of Monte Carlo outcome variance.
Capital One Financial Corporation (COF)
HOLD. 12-month probability-weighted target $196 (-9% vs spot). P/E Multiple explains 88% of Monte Carlo outcome variance.
American Express Company (AXP)
HOLD. 12-month probability-weighted target $348 (+3% vs spot). P/E Multiple explains 64% of Monte Carlo outcome variance.
Ally Financial Inc (ALLY)
HOLD. 12-month probability-weighted target $44 (+3% vs spot). P/E Multiple explains 87% of Monte Carlo outcome variance.