Consumer Ev To Sales vs Free Cash Flow Per Share Analysis

CPSS Stock  USD 9.17  0.16  1.71%   
Consumer Portfolio financial indicator trend analysis is way more than just evaluating Consumer Portfolio prevailing accounting drivers to predict future trends. We encourage investors to analyze account correlations over time for multiple indicators to determine whether Consumer Portfolio is a good investment. Please check the relationship between Consumer Portfolio Ev To Sales and its Free Cash Flow Per Share accounts. Check out Trending Equities to better understand how to build diversified portfolios, which includes a position in Consumer Portfolio Services. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in real.

Ev To Sales vs Free Cash Flow Per Share

Ev To Sales vs Free Cash Flow Per Share Correlation Analysis

The overlapping area represents the amount of trend that can be explained by analyzing historical patterns of Consumer Portfolio Ev To Sales account and Free Cash Flow Per Share. At this time, the significance of the direction appears to have strong relationship.
The correlation between Consumer Portfolio's Ev To Sales and Free Cash Flow Per Share is 0.64. Overlapping area represents the amount of variation of Ev To Sales that can explain the historical movement of Free Cash Flow Per Share in the same time period over historical financial statements of Consumer Portfolio Services, assuming nothing else is changed. The correlation between historical values of Consumer Portfolio's Ev To Sales and Free Cash Flow Per Share is a relative statistical measure of the degree to which these accounts tend to move together. The correlation coefficient measures the extent to which Ev To Sales of Consumer Portfolio Services are associated (or correlated) with its Free Cash Flow Per Share. Values of the correlation coefficient range from -1 to +1, where. The correlation of zero (0) is possible when Free Cash Flow Per Share has no effect on the direction of Ev To Sales i.e., Consumer Portfolio's Ev To Sales and Free Cash Flow Per Share go up and down completely randomly.

Correlation Coefficient

0.64
Relationship DirectionPositive 
Relationship StrengthSignificant

Ev To Sales

The Enterprise Value to Sales ratio, a valuation metric used to compare the value of a company, including debt and excluding cash, to its sales revenue.

Free Cash Flow Per Share

The amount of cash a company generates after accounting for capital expenditures, divided by the number of outstanding shares. It represents the cash available for dividends, share buybacks, or debt repayment per share.
Most indicators from Consumer Portfolio's fundamental ratios are interrelated and interconnected. However, analyzing fundamental ratios indicators one by one will only give a small insight into Consumer Portfolio current financial condition. On the other hand, looking into the entire matrix of fundamental ratios indicators, and analyzing their relationships over time can provide a more complete picture of the company financial strength now and in the future. Check out Trending Equities to better understand how to build diversified portfolios, which includes a position in Consumer Portfolio Services. Also, note that the market value of any company could be closely tied with the direction of predictive economic indicators such as signals in real.
Tax Provision is likely to gain to about 12.4 M in 2026, whereas Selling General Administrative is likely to drop slightly above 87.4 M in 2026.
 2023 2024 2025 2026 (projected)
Other Operating Expenses290.9M366.1M421.0M442.0M
Interest Expense146.6M191.3M219.9M230.9M

Consumer Portfolio fundamental ratios Correlations

0.350.38-0.380.130.25-0.020.380.150.030.260.340.03-0.030.440.40.320.360.040.410.12-0.15-0.170.250.09-0.17
0.351.0-0.060.860.960.781.00.930.66-0.20.840.660.78-0.410.99-0.221.00.79-0.480.77-0.10.50.620.210.07
0.381.0-0.10.860.950.771.00.920.65-0.20.840.650.76-0.380.99-0.171.00.77-0.450.76-0.10.50.630.20.08
-0.38-0.06-0.10.030.010.34-0.120.120.47-0.460.220.470.48-0.68-0.09-0.62-0.070.41-0.66-0.060.060.210.21-0.4-0.22
0.130.860.860.030.850.860.860.850.55-0.320.780.550.77-0.50.81-0.10.860.75-0.580.8-0.140.440.8-0.10.0
0.250.960.950.010.850.750.940.990.65-0.210.810.650.79-0.540.94-0.240.950.83-0.590.79-0.160.360.630.160.0
-0.020.780.770.340.860.750.760.780.81-0.560.810.810.91-0.620.74-0.350.780.81-0.690.570.120.550.72-0.070.01
0.381.01.0-0.120.860.940.760.910.61-0.150.820.610.73-0.360.99-0.191.00.75-0.430.79-0.120.490.60.220.08
0.150.930.920.120.850.990.780.910.7-0.290.810.70.84-0.650.91-0.30.920.88-0.70.77-0.180.410.640.10.0
0.030.660.650.470.550.650.810.610.7-0.690.751.00.93-0.660.65-0.390.660.86-0.680.230.220.550.580.00.02
0.26-0.2-0.2-0.46-0.32-0.21-0.56-0.15-0.29-0.69-0.43-0.69-0.650.61-0.160.05-0.19-0.550.610.18-0.24-0.5-0.450.330.21
0.340.840.840.220.780.810.810.820.810.75-0.430.750.84-0.50.83-0.180.840.82-0.560.56-0.040.490.730.020.05
0.030.660.650.470.550.650.810.610.71.0-0.690.750.93-0.660.65-0.390.660.86-0.680.230.220.550.580.00.02
-0.030.780.760.480.770.790.910.730.840.93-0.650.840.93-0.790.74-0.430.770.94-0.830.50.080.610.72-0.110.02
0.44-0.41-0.38-0.68-0.5-0.54-0.62-0.36-0.65-0.660.61-0.5-0.66-0.79-0.360.49-0.39-0.810.99-0.350.2-0.48-0.490.320.01
0.40.990.99-0.090.810.940.740.990.910.65-0.160.830.650.74-0.36-0.221.00.76-0.430.74-0.090.50.570.250.09
0.32-0.22-0.17-0.62-0.1-0.24-0.35-0.19-0.3-0.390.05-0.18-0.39-0.430.49-0.22-0.21-0.380.49-0.36-0.06-0.31-0.02-0.17-0.01
0.361.01.0-0.070.860.950.781.00.920.66-0.190.840.660.77-0.391.0-0.210.78-0.460.77-0.090.510.620.210.08
0.040.790.770.410.750.830.810.750.880.86-0.550.820.860.94-0.810.76-0.380.78-0.850.55-0.250.590.75-0.140.04
0.41-0.48-0.45-0.66-0.58-0.59-0.69-0.43-0.7-0.680.61-0.56-0.68-0.830.99-0.430.49-0.46-0.85-0.420.2-0.51-0.550.320.01
0.120.770.76-0.060.80.790.570.790.770.230.180.560.230.5-0.350.74-0.360.770.55-0.42-0.30.280.520.140.12
-0.15-0.1-0.10.06-0.14-0.160.12-0.12-0.180.22-0.24-0.040.220.080.2-0.09-0.06-0.09-0.250.2-0.3-0.05-0.290.320.02
-0.170.50.50.210.440.360.550.490.410.55-0.50.490.550.61-0.480.5-0.310.510.59-0.510.28-0.050.41-0.10.35
0.250.620.630.210.80.630.720.60.640.58-0.450.730.580.72-0.490.57-0.020.620.75-0.550.52-0.290.41-0.49-0.01
0.090.210.2-0.4-0.10.16-0.070.220.10.00.330.020.0-0.110.320.25-0.170.21-0.140.320.140.32-0.1-0.490.09
-0.170.070.08-0.220.00.00.010.080.00.020.210.050.020.020.010.09-0.010.080.040.010.120.020.35-0.010.09
Click cells to compare fundamentals

Consumer Portfolio Account Relationship Matchups

Consumer Portfolio fundamental ratios Accounts

202120222023202420252026 (projected)
Common Stock Shares Outstanding25.8M26.6M25.2M24.3M28.0M23.7M
Total Assets2.2B2.8B2.9B3.5B4.0B4.2B
Short Long Term Debt Total2.0B2.5B2.6B3.2B3.6B3.8B
Other Current Liab(41.9M)46.9M(7.2M)(13.8M)(12.4M)(13.0M)
Total Current Liabilities105.6M65.2M234.0M410.9M472.5M496.2M
Total Stockholder Equity170.2M228.4M274.7M292.8M336.7M353.5M
Property Plant And Equipment Net9.3M7.4M4.3M20.4M23.5M24.6M
Net Debt1.8B2.3B2.4B3.0B3.5B3.6B
Retained Earnings116.5M202.5M247.9M267.1M307.1M322.5M
Cash176.5M162.8M125.4M137.4M158.0M165.9M
Non Currrent Assets Other(32.7M)(20.4M)(10.4M)(29.0M)(33.3M)(31.6M)
Other Assets2.2B2.8B2.9B3.5B4.0B4.2B
Cash And Short Term Investments176.5M162.8M125.4M137.4M158.0M165.9M
Net Receivables1.9B2.5B2.7B3.3B3.8B4.0B
Common Stock Total Equity71.3M72.9M55.3M28.9M33.2M31.6M
Liabilities And Stockholders Equity2.2B2.8B2.9B3.5B4.0B4.2B
Non Current Liabilities Total1.8B2.5B2.4B2.8B3.2B3.4B
Other Stockholder Equity(69.0M)(116.5M)(202.5M)(247.9M)(285.0M)(270.8M)
Total Liab2.0B2.5B2.6B3.2B3.7B3.9B
Property Plant And Equipment Gross8.7M9.9M10.3M10.7M12.3M12.9M
Accumulated Other Comprehensive Income(1.6M)(3.0M)(1.9M)(10K)(9K)(9.5K)
Common Stock55.3M28.9M28.7M25.7M23.1M22.0M
Non Current Assets Total1.1M10.2M2.9B3.5B4.0B4.2B
Total Current Assets32.2M14.1M6.2M11.7M13.5M12.8M
Accounts Payable47.1M43.1M43.6M55.4M63.7M66.9M
Long Term Debt1.8B310.6M2.3B2.7B3.1B3.3B
Good Will32.4M23.4M12.9M6.1M7.0M6.7M
Inventory3.8M2.5M571K125K112.5K118.1K
Property Plant Equipment1.5M828K9.3M1.7M1.9M1.9M
Short Term Debt41.9M18.3M7.2M13.8M12.4M11.8M
Net Tangible Assets202.6M133.4M170.2M228.4M262.6M158.8M
Retained Earnings Total Equity139.8M69.0M116.5M202.5M232.9M244.5M
Long Term Debt Total152.3M140.3M132.1M310.6M279.5M413.9M
Long Term Investments1.5B1.5B1.8B2.5B2.8B3.0B
Other Current Assets(2.1B)(2.7B)(2.9B)(3.5B)(3.1B)(3.0B)
Short Long Term Debt105.6M285.3M234.0M410.9M369.8M260.5M
Net Invested Capital1.9B2.7B2.8B3.4B3.9B2.8B
Capital Stock55.3M28.9M28.7M25.7M23.1M40.3M

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Additional Tools for Consumer Stock Analysis

When running Consumer Portfolio's price analysis, check to measure Consumer Portfolio's market volatility, profitability, liquidity, solvency, efficiency, growth potential, financial leverage, and other vital indicators. We have many different tools that can be utilized to determine how healthy Consumer Portfolio is operating at the current time. Most of Consumer Portfolio's value examination focuses on studying past and present price action to predict the probability of Consumer Portfolio's future price movements. You can analyze the entity against its peers and the financial market as a whole to determine factors that move Consumer Portfolio's price. Additionally, you may evaluate how the addition of Consumer Portfolio to your portfolios can decrease your overall portfolio volatility.