TORVANTA
Other · S&P 500 · data as of 2026-10-05

FOUR stock analysis: FOUR

FOUR (FOUR) is an S&P 500 company in Other. It grades strongest on value and weakest on profitability and momentum.

The model's view of FOUR · subscribers

Where FOUR ranks among the 1,500 U.S. stocks the model scores each trading day, its expected return, the evidence for and against it, and whether the model portfolio holds it. The grades below describe the company's data; they are not the model's view.

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What's happening with FOUR · updated 2026-10-05 · from prices and SEC filings

FOUR price performance

FOUR against the S&P 500, one year
-50%-25%+0%S&P 500 +18%FOUR -52%2025-09-292026-10-05
Year to date-40.4%S&P 500 +14.5% · behind by 54.9 pts
1 year-51.1%S&P 500 +17.0% · behind by 68.2 pts
3 years-29.6%S&P 500 +89.3% · behind by 118.8 pts
5 years-52.9%S&P 500 +91.3% · behind by 144.2 pts

Total returns with dividends reinvested.

FOUR factor grades

Each grade compares FOUR with the rest of its sector (A+ best, F worst); the numbers behind it are shown with the typical figure for its peers.

A-ValueFCF yield 19.3% (industry 6.0%)
BGrowthRevenue growth +32% (industry +8%)
C-ProfitabilityOperating margin 8.1% (industry 9.6%)ROIC 5.4% (industry 10.1%)
FMomentum12-month change -51%From 52-wk high -53%

FOUR in plain numbers

FOUR key statistics

SectorOther
Industryn/a
IndexS&P 500
Market value$3.0B
Revenue growth (y/y)+32%
Free-cash-flow yield19.3%
Dividend yieldn/a
Next earnings (expected)2026-11-05
Valuation measures
Market value$3.0B
Enterprise value$7.1B
Price / sales0.6x
Price / book1.8x
EV / revenue1.5x
EV / EBITDA7.7x
Financial highlights
Revenue, last 12 months$4.8B
Net income, last 12 months$105.3M
Operating margin8.1%
Net margin2.2%
Return on equity6.6%
Return on invested capital5.4%
Cash$356.0M
Total debt$4.5B
Debt / equity2.79x
Free cash flow, last 12 months$572.9M
Interest cover34.9x
Current ratio1.21x

Company figures from its latest SEC filings; market value and returns from end-of-day prices.

FOUR earnings trends

Revenue vs earnings
$0$323.8M$647.5M$1.0B$1.3BSep 2024 Revenue: $909.2MDec 2024 Revenue: $887.0MMar 2025 Revenue: $848.3MJun 2025 Revenue: $1.0BSep 2025 Revenue: $1.2BDec 2025 Revenue: $1.2BMar 2026 Revenue: $1.1BJun 2026 Revenue: $1.3BSep 2024 Net income: $53.8MDec 2024 Net income: $116.0MMar 2025 Net income: $16.7MJun 2025 Net income: $34.0MSep 2025 Net income: $28.1MDec 2025 Net income: $40.2MMar 2026 Net income: $15.0MJun 2026 Net income: $22.0MSep 2024Dec 2024Mar 2025Jun 2025Sep 2025Dec 2025Mar 2026Jun 2026Net margin: 5.9%Net margin: 13.1%Net margin: 2.0%Net margin: 3.5%Net margin: 2.4%Net margin: 3.4%Net margin: 1.3%Net margin: 1.7%0%7%13%■ Revenue ■ Net income ━ Net margin

From the company's 10-Q and 10-K filings with the SEC.

FOUR financials (from SEC filings)

Fiscal yearFY2021FY2022FY2023FY2024FY2025
Revenue$1.4B$2.0B$2.6B$3.3B$4.2B
Net income-$48.2M$75.1M$86.2M$229.6M$119.0M
Free cash flow$21.0M$267.4M$374.6M$493.2M$624.0M

FOUR earnings history

ReportedEPS (GAAP)EPS y/yRevenue y/yStock vs S&P 500, 2 days
2026-08-06n/an/a+34%-23.2%
2026-05-07n/an/a+32%-1.2%
2026-02-26n/an/a+34%-22.1%
2025-11-06n/an/a+29%-0.5%
2025-04-29n/an/a+20%+2.0%
2025-02-18n/an/a+26%-15.0%

Companies similar to FOUR

CompanyMarket valueP/ERevenue growthOperating margin12-month change
FOUR FOUR$3.0Bn/a+32%8.1%-51%
NMIH NMIH$3.0B7.8x+8%n/a+7%compare
YETI YETI$3.0B17.7x+6%12.2%+16%compare
KNF KNF$2.9B21.2x+12%8.3%-29%compare
FRPT FRPT$2.9B16.1x+13%8.1%+15%
AVA AVA$2.9B12.7x-2%18.8%-0%
CURB CURB$2.9B89.9x+54%n/a+21%

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Frequently asked questions

Is FOUR stock a buy?

Torvanta does not tell individuals what to buy. Its grades for FOUR are shown above. Subscribers see the model's rank, expected return and whether the model portfolio holds it. This is research, not a recommendation.

When does FOUR report earnings next?

Based on its filing history, Torvanta expects FOUR to report around 2026-11-05.

How has FOUR performed against the S&P 500?

Over the past year FOUR returned -51.1%, against +17.0% for the S&P 500, dividends reinvested.

See the model's view

Subscribers get the model's rank and expected return for every covered company, the reasoning behind each, and the Torvanta model portfolio's trades each trading day, sized and explained, at three risk levels.

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Torvanta is research only - not investment advice and not a recommendation to buy or sell any security. Grades describe a company's reported data against its sector; they are not the model's view, change as data changes and can be wrong. Financial figures come from the company's SEC filings; returns include reinvested dividends. Past performance does not predict future results.

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