CNO Financial Group is part of the life insurance industry and trades as part of the financial services sector. The company CEO is Gary C. Bhojwani. CNO Financial Group Inc is a holding company for a group of insurance companies. It develops, markets and administers health insurance, annuity, individual life insurance and other insurance products.
Previous Intraday Trading Performance:
The CNO stock showed a previous change of 1.07% with an open at 16.91 and a close of 17.01. It reached an intraday high of 17.28 and a low of 16.90.
SeekingAlpha: CNO Financial names new CFO, new marketing chief
The stock has a market cap of $2.7b with 160.7m shares outstanding, of which the float is 154.4m shares. Trading volume reached 824,700 shares compared to its average volume of 1,075,612 shares. Based on the current average volume and close price, the trading liquidity is bad, highly speculative and an investor may want to avoid this stock.
Historical Trading Performance:
Over the last five trading days, CNO Financial Group shares returned 2.59% and in the past 30 trading days it returned -4.66%. Over three months, it changed 12.15%. In one year it has changed -23.43% and within that year its 52-week high was 23.13 and its 52-week low was 13.64. CNO stock is 24.71% above its 52 Week Low.
Our calculations show a 200 day moving average of 18.78 and a 50 day moving average of 17.07. Currently CNO stock is trading -9.41% below its 200 day moving average and may not be a good opportunity to buy as it may continue to trend down.
The last annual fiscal EPS for the company was reported at 1.82 that ended on 31st of December 2018. Based on 3 analyst estimates, the consensus EPS for the next quarter is 0.53. The TTM EPS is 1.82, which comes to a TTM PE of 9.35.
The following are the last four quarter reported earnings per share:
The dividend per share is currently 0.40, which is a dividend yield of 2.35%. Also, the payout ratio is 21.98%, therefore the dividend is safe according to our calculations.
Base on our calculations, the intrinsic value per share is 23.23, which means it is possibly undervalued and has a margin of safety of 26.76%
Indicators to Watch:
Based on the latest filings, there is 3.80% of insider ownership and 149.80% of institutional ownership. Short-interest is 3,325,229, which is 2.07% of shares outstanding. The short-interest ratio or days-to-cover ratio is 3.02. This stock has some short interest, but it may be normal and no cause for concern if long the position.
The current calculated beta is 1.31
Based on last reported financials, the company’s return on equity is -7.67%, return on assets is -0.98%, profit margin is -7.30%, price-to-sales is 0.63 and price-to-book is 0.80.
All scores are out of six:
2 :Valuation Score
0 :Past Performance Score
1 :Financial Strength Score
3 :Future Growth Score
2 :Dividend Score
1 :Overall Score