SYF Factor Report

Data as of market close on: 10/9/2024.

Fundamental analysis of SYF using the major investing factors, including value, quality, momentum, and low volatility.
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SYNCHRONY FINANCIAL (SYF) Fundamentals

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Latest Close: $52.00 Market Cap ($ mil): $20,552 Sector: Financial Industry: Consumer Financial Services 52 Week High: $52.67 52 Week Low: $27.30 Relative Strength: 88 Twelve Minus One Return: 61.4% Standard Deviation: 36.4% Insider Ownership: 0.53%
PE Ratio: 7.2 Price/Sales: 1.1 Price/Book: 1.4 Price/Cash Flow: 6.0 EV/EBITDA: 4.44 Dividend Yield: 1.92% Shareholder Yield: 3.05% Piotroski F Score: 6 Mohanram G Score: 5 Institutional Ownership: 0.79%
Return on Equity: 21.9% Return on Assets: 2.6% Return on Tangible Capital: N/A Return on Invested Capital: 0.0% WACC: 5.7% Debt/Equity: 1.01 LT EPS Growth: 16.4% LT Sales Growth: 4.6% Beta: 1.61 Profit Margin: 15.75%
Synchrony Financial is a consumer financial services company focused on delivering digitally enabled product suites. The Company provides a range of credit products through financing programs it has established with a diverse group of national and regional retailers, local merchants, manufacturers, buying groups, industry associations and healthcare service providers. The Company primarily offers private label, dual card, co-brand, and general-purpose credit cards, as well as short- and long-term installment loans, and savings products through Synchrony Bank (the Bank). It primarily manages its credit products through five sales platforms (Home & Auto, Digital, Diversified & Value, Health & Wellness and Lifestyle). The Bank offers directly to retail, affinity relationships and commercial customers, a range of deposit products, including certificates of deposit, individual retirement accounts (IRAs), money market accounts, savings accounts and sweep and affinity deposits.

Factor Profile

SYF's exposure to the major factors (100 is highest).

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