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QuarterlyIQ Insights · BF-B

Factors

The full factor breakdown (the numbers behind each rank). The overview page shows the same reads in short form; this is the depth.

Factor signals

Each factor is a parallel diagnostic with a plain-language read of what it shows and how names like it have historically fared. Never aggregated into a single score.

Recent financial performance
strong

Operating income rose in 3 of the last 3 quarter-over-quarter moves. Historically, Consumer Staples names rated strong grew net income 66% of the time over the next year (vs 53% for the rest of the cohort, n=1144).

92th pctl · Consumer Staples
The numbers
bonus
0
dir share
1
slope norm
0.1622
Earnings quality
fragile

Over the trailing year it converted 1.07x of net income into operating cash flow. Historically, Consumer Staples names rated fragile grew net income 51% of the time over the next year (vs 57% for the rest of the cohort, n=1037).

16th pctl · Consumer Staples
The numbers
ttm ni
807
ttm cfo
861
Macro sensitivity

Not enough signal yet.

Not enough signal to read sensitivity to the broad stock market, the US dollar, long-term interest rates, real (inflation-adjusted) rates, Fed net liquidity (low R² over the window).

Management & capital allocation
volatile

10 material management or governance events in the past 24 months, led by executive changes. Historically, Consumer Staples names rated volatile grew net income 42% of the time over the next year (vs 51% for the rest of the cohort, n=368).

28th pctl · Consumer Staples
The numbers
n events
10
raw activity
1.2557
directional rank
0.7909
directional status
capital_friendly

Not investment advice. As of 2026-06-09.

Earnings setup & market context

The next print and the backdrop around it (sector regime and the AI cycle). Context for the path, not a forecast of returns.

Earnings setup · pre-print positioning
forward-looking
bearish12 analysts, 17% Buyfor period ending 2026-07-31
Why this setup
Consensus revisions

EPS estimate $0.38 → $0.37 (-1.6% / 30d). 1 raised, 2 cut, 12 covering analysts.

Rating actions

0 upgrades, 0 downgrades / 30d, 6 maintained. 17% of analysts rate Buy.

Material events

0 positive, 0 negative / 30d.

Sector context
Intermediate · Weekly
Sector phase: consumer staples is in maturing, with decelerating (~1.2 years in phase).
Sector regime (90d momentum): headwind.
headwind-12.1%sector vs S&P 500, 60d

via XLP

Tailwind = sector leading the S&P 500; headwind = trailing. Both can be constructive. Historically, headwind regimes have averaged stronger forward returns than tailwind.

Full consumer staples context →All sectors →

AI cycle regime · market-wide
2-axis classifierLong-term · 1–3 yr
HeatingManiaSquallCrisisEarnings →Mood ↑
SteadyE +0.08 · M -0.04
Single-axisCHASEz +4.22

Context label only: describes the market state (e.g. real bear vs narrative panic, healthy uptrend vs late-stage froth). It is not a per-ticker buy/sell signal and does not predict factor performance.

Not investment advice. As of 2026-06-09.