Skip to content

QuarterlyIQ Insights · EL

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
weak

Operating income rose in 2 of the last 3 quarter-over-quarter moves. Historically, Consumer Staples names rated weak grew net income 56% of the time over the next year (vs 58% for the rest of the cohort, n=1144).

26th pctl · Consumer Staples
The numbers
bonus
0
dir share
0.3548
slope norm
0.711
Earnings quality
loss_making

Over the trailing year it converted -7.25x of net income into operating cash flow.

The numbers
ttm ni
-248
ttm cfo
1798
Macro sensitivity

Most sensitive to the broad stock market.

  • the broad stock market: This stock moves with the broad market (high beta).β 1.38 · R² 0.24

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

Management & capital allocation
volatile

15 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).

12th pctl · Consumer Staples
The numbers
n events
15
raw activity
2.057
directional rank
0.0091
directional status
capital_unfriendly

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
bearish20 analysts, 44% Buyfor period ending 2026-06-30
Why this setup
Consensus revisions

EPS estimate $0.33 → $0.32 (-2.8% / 30d). 3 raised, 13 cut, 20 covering analysts.

Rating actions

0 upgrades, 0 downgrades / 30d, 1 maintained. 44% of analysts rate Buy.

Price target activity

1 PT revisions / 30d. Avg target 17.5% above current price.

Material events

0 positive, 1 negative / 30d. See F4 management tile for the event list.

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.