TRS
TriMas Corporation (TRS)
Consumer Cyclical • Packaging & Containers • $39.48 • MCap: 1,416,300,416
🌐
https://trimas.com • TriMas Corporation engages in the design, development, manufacture, and sale of products for consumer products, aerospace and defense, and industrial markets worldwide. The company operates through Packaging and Specialty Products segments. The Packaging segment offers dispensing products, such as foaming and sanitizer pumps, lotion and hand soap pumps, beverage dispensers, perfume sprayers, and nasal and trigger sprayers; polymeric and steel caps and closures comprising food lids, flip-top and beverage closures, child resistance caps, drum and pail closures, and flexible spouts; polymeric jar products; integrated dispensers; bag-in-box products; and consumable vascular delivery and diagnostic test components under the Rieke, Taplast, Affaba & Ferrari, Aarts Packaging, Intertech, Omega Plastics, and Rapak brands. The Specialty Products segment designs, manufactures, and distributes steel cylinders for use in transportation, storage, and dispensing of packaged and compressed gases under the Norris Cylinder brand. It sells its products through a direct sales force, third-party agents, and distributors. The company was incorporated in 1986 and is headquartered in Bloomfield Hills, Michigan.
Buy Decision Core
Total Score
48
Business Quality
13
Financial Strength
12
Growth Outlook
1
Momentum
3
Price Action
Current
39.48
52W High
44.99
52W Low
30.99
Above 50DMA
40.27 (-1.96%)
Above 200DMA
37.72 (4.66%)
Relative Strength
Relative Strength
0.05
RS 3M
0.01
RS 6M
0.06
RS 9M
0.16
RS 12M
0.04
Fundamentals
Revenue Growth
0.02%
Earnings Growth
-0.10%
ROE
0.08%
ROA
0.01%
Valuation
PE (Fwd)
18.68
PEG
1.94
P/B
0.98
Upside
13.98%
Risk
Beta
0.60
Short %
0.15
Risk Score
4.00
Analyst
Rating
none
Target
45.00
Beta
0.60
Analysts
0
Total Score
48
Upside
13.98%
Relative Strength
0.05
Beta
0.60
Why Buy?
- Trading below book value
- Trading above 200 DMA
Key Risks
- Earnings growth is negative
Score Breakdown
Business
13
13
Financial
12
12
Growth
1
1
Valuation
11
11
Risk
3
3
Momentum
3
3
Technical
52W High: 44.99
52W Low: 30.99
Above 50DMA: -1.96%
Above 200DMA: 4.66%
Valuation
Forward PE: 18.68
PEG: 1.94
P/B: 0.98
Upside: 13.98%
Risk
Beta: 0.60
Short Float: 0.15%
ROE: 0.08%
ROA: 0.01%