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AN

Autonation·NYSE
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4.20 / 10
Netural

Fundamental score is 4.2/10. Strengths include solid cash‑to‑market (Cash‑MV) and asset turnover ratios, but profit‑to‑market is low and net income‑to‑revenue is negative. Cash flow per share shows a steep YoY decline, raising caution despite decent liquidity.

Fundamental(4.2)SentimentTechnical

Analysis Checks(5/10)

Net cash flow from operating activities per share (YoY growth rate %)
Value-60.57
Score2/3
Weight8.71%
1M Return1.75%
Net cash flow from operating activities / Operating revenue (%)
Value0.41
Score1/3
Weight9.34%
1M Return1.92%
Profit-MV
Value1.35
Score0/3
Weight-2.51%
1M Return-0.57%
Net income-Revenue
Value-1.31
Score1/3
Weight4.69%
1M Return0.97%
Non-current liabilities / Total liabilities (%)
Value54.02
Score3/3
Weight21.46%
1M Return4.08%
Current assets turnover ratio
Value5.91
Score1/3
Weight8.82%
1M Return1.81%
Cash-UP
Value-0.38
Score2/3
Weight2.61%
1M Return0.56%
Fixed assets turnover ratio
Value6.43
Score3/3
Weight22.64%
1M Return4.28%
Net cash flow from operating activities / Total liabilities (%)
Value0.01
Score1/3
Weight8.52%
1M Return1.81%
Cash-MV
Value-0.26
Score2/3
Weight15.72%
1M Return2.95%
Is AN undervalued or overvalued?
  • AN scores 4.20/10 on fundamentals and holds a Fair valuation at present. Backed by its 27.05% ROE, 2.35% net margin, 10.33 P/E ratio, 2.86 P/B ratio, and 0.99% earnings growth, these metrics solidify its Netural investment rating.