Acacia Research Corporation

NMS: ACTG
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📈 ZcoreAI Score

Our AI model analyzes Acacia Research Corporation's price action across multiple timeframes using regression channels and statistical scoring.

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About Acacia Research Corporation

Industrials Business Equipment & Supplies
Acacia Research Corporation operates as an acquirer and operator of businesses across industrial, energy, and technology sectors in the Americas, Europe, the Middle East, Africa, and the Asia-Pacific. It operates through four segments: Intellectual Property Operations, Industrial Operations, Energy Operations, and Manufacturing Operations. The company is involved in investing in IP; and licensing and enforcement of patented technologies. It also designs and manufactures printers, including hardware and embedded software, as well as consumable products, such as inked ribbons for various industrial printing applications. In addition, the company acquires, explores, develops, and produces oil and natural gas resources located in Texas and Oklahoma. Further, it designs and manufactures purchase brochure, folder, and applications display holders; plastic injection-molded office supply, as well as arts, crafts, and education products; plastic and aluminum air venting and air control products; extruded vinyl chair mats; safety reflectors for bicycles; and emergency warning triangles, mud flaps, and splash guards for the heavy duty truck market and transportation industry. Acacia Research Corporation was incorporated in 1993 and is headquartered in New York, New York.

📊 Fundamental Analysis

Acacia Research Corporation demonstrates a healthy profit margin of 7.6%.

The company recently reported 2.6% revenue growth, which is modest compared to its industry peers.

Return on Equity (ROE) is 4.3%, which suggests room for improvement in capital utilization.

At a current price of $4.90, ACTG currently trades near the top of its 52-week range (87%) (Range: $2.80 - $5.22).

💰 Valuation Insight

ACTG is valued broadly in line with the sector at a PE of 22.27. Analysts expect earnings growth, as indicated by a lower forward PE.

🏥 Financial Health

⚠️ Profit Margin Moderate
Debt/Equity Excellent
🔴 Revenue Growth Weak
🔴 Return on Equity Weak
Beta (Risk) Low Volatility

Key Financials

Market Cap
$472.73M
Trailing P/E
22.27
Forward P/E
-9.25
Beta (5Y)
0.45
52W High
$5.22
52W Low
$2.80
Avg Volume
317K
Day High
Day Low
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