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QNST

QuinStreet·NASDAQ
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3.59 / 10
Netural

QNST's fundamental profile is unimpressive, scoring 3.6/10. Key strengths include a solid Interest coverage ratio (15.94) and a positive Revenue-MV reading (0.769), which offset weaknesses such as a high Inventory turnover days (300.48) and a low ROE (2.04). The Asset-MV factor is negative (-1.138), suggesting asset overhang, while Cash-MV is slightly positive (0.028). These mixed signals place the company in a neutral fundamental bucket, with no glaring distress but also no standout value.

Fundamental(3.59)SentimentTechnical

Analysis Checks(4/10)

Revenue-MV
Value0.77
Score2/3
Weight6.75%
1M Return1.68%
Asset-liability ratio (%)
Value43.39
Score0/3
Weight-2.89%
1M Return-0.86%
Annualized return on equity (%)
Value2.04
Score1/3
Weight3.65%
1M Return0.99%
Operating cycle
Value40.75
Score2/3
Weight5.24%
1M Return1.37%
Profit-MV
Value-1.51
Score0/3
Weight-5.26%
1M Return-1.48%
Interest coverage ratio (EBIT / Interest expense) (%)
Value15.94
Score3/3
Weight10.84%
1M Return2.95%
Asset-MV
Value-1.14
Score2/3
Weight65.36%
1M Return12.18%
ROE (%)
Value2.04
Score1/3
Weight3.65%
1M Return0.99%
Inventory turnover days
Value300.47
Score1/3
Weight4.61%
1M Return1.30%
Cash-MV
Value0.03
Score1/3
Weight8.06%
1M Return1.98%
Is QNST undervalued or overvalued?
  • QNST scores 3.59/10 on fundamentals and holds a Fair valuation at present. Backed by its 1.85% ROE, 0.96% net margin, 147.58 P/E ratio, 2.82 P/B ratio, and 145.00% earnings growth, these metrics solidify its Netural investment rating.