ENVA Factor Report

Data as of market close on: 1/27/2023.

Fundamental analysis of ENVA using the major investing factors, including value, quality, momentum, and low volatility.
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Latest Close: $44.30 Market Cap ($ mil): $1,394 Sector: Financial Industry: Consumer Financial Services 52 Week High: $47.88 52 Week Low: $25.80 Relative Strength: 80 Twelve Minus One Return: -3.2% Standard Deviation: 64.1%
PE Ratio: 7.5 Price/Sales: 1.3 Price/Book: 1.2 Price/Cash Flow: 5.7 EV/EBITDA: 8.15 Dividend Yield: N/A Shareholder Yield: -0.47% Piotroski F Score: 6 Mohanram G Score: 4
Return on Equity: 18.0% Return on Assets: 6.9% Return on Tangible Capital: 12.0% Return on Invested Capital: 10.8% WACC: 6.0% Debt/Equity: 1.80 LT EPS Growth: 63.3% LT Sales Growth: 4.4% Beta: 1.48
Enova International, Inc. is a technology and analytics company. The Company operates through the domestic and international operations segment. It offers or arranges loans or draws on lines of credit to consumers in approximately 38 states in the United States and Brazil. The Company also offers financing to small businesses in all over 50 states and the Washington District of Columbia in the United States. The Company uses its technology, analytics and customer service capabilities to evaluate, underwrite and fund loans or provide financing, allowing it to offer consumers and small businesses credit or financing. Its customers include the growing number of consumers and small businesses, which have bank accounts but use alternative financial services because of their limited access to more traditional credit from banks, credit card companies and other lenders. Its financing products include installment loans and receivables purchase agreements (RPAs) and line of credit accounts.

Factor Profile

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

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Stocks with the closest factor profiles to ENVA.

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