CLB
Core Laboratories Inc. (CLB)
Energy • Oil & Gas Equipment & Services • $10.64 • MCap: 490,468,704
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https://www.corelab.com • Core Laboratories Inc. provides reservoir description and production enhancement services and products to the oil and gas industry in the United States, and internationally. It operates through Reservoir Description and Production Enhancement segments. The Reservoir Description segment includes the characterization of petroleum reservoir rock and reservoir fluid samples to enhance production and improve recovery of crude oil and natural gas from its clients' reservoirs. It offers laboratory-based analytical and field services to characterize properties of crude oil and oil delivered products; and proprietary and joint industry studies, as well as services that support carbon capture, utilization and storage, geothermal projects, and the evaluation and appraisal of mining activities. The Production Enhancement segment provides services and products relating to reservoir well completions, perforations, stimulations, production, and well abandonment. It offers integrated diagnostic services to evaluate and monitor the effectiveness of well completions and to develop solutions to improve the effectiveness of enhanced oil recovery projects. The company markets and sells its products through a combination of sales representatives, technical seminars, trade shows, and print advertising, as well as through distributors. Core Laboratories Inc. was founded in 1936 and is based in Houston, Texas.
Buy Decision Core
Total Score
40
Business Quality
3
Financial Strength
11
Growth Outlook
4
Momentum
2
Price Action
Current
10.64
52W High
19.64
52W Low
9.72
Above 50DMA
12.11 (-12.14%)
Above 200DMA
15.34 (-30.62%)
Relative Strength
Relative Strength
-0.27
RS 3M
-0.27
RS 6M
-0.46
RS 9M
-0.35
RS 12M
0.01
Fundamentals
Revenue Growth
-0.04%
Earnings Growth
-0.42%
ROE
0.09%
ROA
0.05%
Valuation
PE (Fwd)
15.76
PEG
1.44
P/B
1.82
Upside
45.68%
Risk
Beta
1.01
Short %
0.21
Risk Score
6.00
Analyst
Rating
hold
Target
15.50
Beta
1.01
Analysts
0
Total Score
40
Upside
45.68%
Relative Strength
-0.27
Beta
1.01
Why Buy?
- Analyst upside exceeds 15%
Key Risks
- Revenue growth is negative
- Earnings growth is negative
Score Breakdown
Business
3
3
Financial
11
11
Growth
4
4
Valuation
13
13
Risk
3
3
Momentum
2
2
Technical
52W High: 19.64
52W Low: 9.72
Above 50DMA: -12.14%
Above 200DMA: -30.62%
Valuation
Forward PE: 15.76
PEG: 1.44
P/B: 1.82
Upside: 45.68%
Risk
Beta: 1.01
Short Float: 0.21%
ROE: 0.09%
ROA: 0.05%