TriNet Group Inc Shares Fall 4.4% Below Previous 52-Week Low - Market Mover

The shares fell 4.4% lower than its previous 52-week low of $68.70, with trading volume higher than its 30 day average

Oct 26, 2022 by Kwhen Finance Editors

TriNet Group Inc Shares Fall 4.4% Below Previous 52-Week Low - Market Mover
TriNet Group Inc (TNET) shares closed 4.4% lower than its previous 52 week low, giving the company a market cap of $4B. The stock is currently down 19.6% year-to-date, down 21.1% over the past 12 months, and up 123.3% over the past five years. This week, the Dow Jones Industrial Average rose 4.3%, and the S&P 500 rose 3.7%.

Trading Activity

  • Trading volume this week was 57.0% higher than the 20-day average.
  • Beta, a measure of the stock’s volatility relative to the overall market stands at 1.0.

Technical Indicators

  • The Relative Strength Index (RSI) on the stock was above 70, indicating it may be overbought.
  • MACD, a trend-following momentum indicator, indicates an upward trend.
  • The stock closed below its Bollinger band, indicating it may be oversold.

Fundamentals & Catalysts

  • Over the past 12 months the company generated $434 million in earnings before interest and taxes from $4 billion in revenue. It currently holds $571 million in cash and $1 billion in debt.
  • Its forward price-to-earnings (P/E) ratio of 0 is lower than its current P/E ratio of 12.62, implying that analysts are expecting an increase in earnings.
  • The company's price/earnings-to-growth ratio (PEG Ratio), a widely used indicator of a stock's true value while also factoring in expected earnings growth, currently stands at 0.78. A fairly valued company should have a PEG ratio of 1.0. When a company's PEG exceeds 1.0, it's considered overvalued while a stock with a PEG of less than 1.0 is considered undervalued.
  • The company's debt-to-equity ratio, which measures the extent to which it finances its operations through debt, currently stands at 4.60 which means it currently has $4.60 of debt for every $1 of equity. Generally speaking, a debt to equity ratio below 1.0 is seen as relatively safe, while ratios of 2.0 or higher would be considered risky. Some industries are known for having much higher debt to equity ratios than others.
  • The company's price-to-book ratio, which measures the market's valuation of a company relative to its book value, currently stands at 7.60. This means that the stock is trading at a premium of 8 times relative to the company's book value which reflects the total value of a company's assets that shareholders of that company would receive if the company were to be liquidated.
  • The company's price-to-sales ratio, which shows how much the market values every dollar of the company's sales, currently stands at 1.23.
  • The company's enterprise value-to-revenue multiple, which is often used to determine a company's valuation in the case of a potential acquisition, currently stands at 1.21.

P/E

12.62

EBITDA

$434M

P/Book

7.60

Mkt Cap

$4B

P/Sales

1.23

Revenue

$4B

EPS (TTM)

5.73

PEG Ratio

0.78

EV/Revenue

1.21

Total Cash

$571M

Debt/Equity

4.60

Forward P/E

0.00

Current Debt

$1B

Gross Profit

$819M

Dividend Date

-

Earnings Date

-

Profit Margin

0.07

Revenue/Share

61.41

Total Revenue

$4B

Enterprise Val

$4B

Put/Call Ratio

0.45

Revenue/Employee

1117062.40

Market Comparative Performance

  • The company's share price is the same as the S&P 500 Index , lags it on a 1-year basis, and beats it on a 5-year basis
  • The company's share price is the same as the Dow Jones Industrial Average , lags it on a 1-year basis, and beats it on a 5-year basis
  • The company share price is the same as the performance of its peers in the Industrials industry sector , lags it on a 1-year basis, and beats it on a 5 year basis
NameDoD %ΔYTD %Δ1 Yr %52-Week H %52-Week L %
TriNet Group Inc-14.2-19.6-21.1-37.8-1.0
Dow Jones Industrial Average-0.0-11.0-9.2-12.611.0
S&P 500 Index-0.8-18.0-14.2-19.69.6
Industrials0.8-18.3-19.0-19.610.7

Peer Group Comparative Performance

  • The company's stock price performance year-to-date lags the peer average by 111.6%
  • The company's stock price performance over the past 12 months lags the peer average by 239.1%
  • The company's price-to-earnings ratio, which relates a company's share price to its earnings per share, is -51.2% lower than the average peer.
NameMKT CAP (USD)P/EYTD %Δ1 Yr %Δ52-Week H %52-Week L %
TriNet Group IncTNET12.6-19.6-21.1-37.8-1.0
Peer AvgN/A25.8-9.3-6.2-8.511.3
Automatic Data Processing Inc.ADP33.5-2.211.1
Paychex Inc.PAYX29.2-13.1-3.1
Equifax, Inc.EFX27.8-44.5-40.8-45.411.7
Tradeweb Markets Inc Cls ATW23.0-45.4-36.7
Insperity IncNSP29.5-6.2-10.0-12.233.0
Cbiz IncCBZ24.020.929.7-2.134.4
Barrett Business Services Inc.BBSI13.925.66.3

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