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Home
Stocks
Smith Douglas Homes Corp.
SDHC

SDHC Smith Douglas Homes Corp.

Smith Douglas Homes Corp. · NYSE
Market Open
9.88
▼ ⁦-3.04%⁩ (-0.31)
Market Cap$85.1M
Beta0.83
52w Low52w High
9.7523.49
Last Week
⁦-3.61%⁩
Last Month
⁦-11.86%⁩
Last 3 Months
⁦-37.90%⁩
Last Year
⁦-45.89%⁩
EL7 Factor Analysis
How we score this
Overall86
Excellent — top fifth of the marketContrarianF 2/8Insider cluster buyBetter than 86% of Market stocks, per EL7's modelUnsustainable dividend (payout > 100%)
FactorScoreDistributionValueAvgRank
▸
Valuation
84
13.8x▲17.4xTop tier
▸
Growth
21
-13.2%▼7.1%Bottom tier
▸
Quality
67
26.8%▲4.5%Top tier
▸
Safety
83
1.1x▲2.6xTop tier
▸
Capital Return
99
14.85%▲0.18%Top tier
▸
Momentum
14
-39.0%▼1.3%Bottom tier
▸
Sentiment
90
33Top tier

Frequently Asked Questions

What is Smith Douglas Homes Corp. stock?▼

Smith Douglas Homes Corp. is a publicly traded stock representing ownership in the company, giving holders rights to dividends and voting.

How can I invest in Smith Douglas Homes Corp.?▼

You can buy Smith Douglas Homes Corp. shares through a licensed brokerage. Research the company's financials before investing.

What are the key metrics for evaluating Smith Douglas Homes Corp.?▼

Key metrics include Price-to-Earnings (P/E) ratio, Return on Equity (ROE), revenue growth, and net profit margin.

Does Smith Douglas Homes Corp. pay dividends?▼

Dividend policies vary by company. Check the dividends section on the stock page for the payout history.

What are the risks of investing in Smith Douglas Homes Corp.?▼

Risks include market volatility, sector-specific risks, regulatory changes, and company financial performance. Diversification helps reduce risk.

Fair Value
Current price⁦$10⁩
  • Analyst targetsLow confidence
    1 analysts
    ⁦$15⁩
    ⁦+47%⁩
    Range ⁦⁦$14⁩–⁦$16⁩⁩Typical for this method across large companies: ⁦+18%⁩
  • Value at the industry multiple
    Next year's earnings × ⁦12.5⁩, median of 22 companies
    ⁦$6.87⁩
    ⁦−33%⁩
    Range ⁦⁦$5.95⁩–⁦$10⁩⁩
1
methods value it above the price
0
methods near the price
1
methods value it below the price

10-year US Treasury yield ⁦5.31%⁩ as of ⁦2026-10-05⁩. Estimates computed from company data and analyst targets, not investment advice.

Compare in the screener

AI analysis from the earnings call, financials and news

Analyst Consensus

This section combines price targets, revision history, analyst coverage changes, and an AI summary of what changed on the Street.

Price Target· 1 analysts setting price target
$15.00
⁦+51.8%⁩
Current Price $9.88·Median $15.00
Low
$14.00
High
$16.00
Current price
$9.88
Average target
$15.00
Street summary

Target Price Raised While Coverage Remains Limited

Bullish tilt

The consensus target price rose from 14 to 15, an increase of 7.14%, both in the latest snapshot and compared with the 7- and 30-day snapshots. The number of analysts remained at one analyst, while the current range was between 14 and 16, with both the consensus and median at 15; therefore, the increase reflects an improvement in the estimate, not a confirmed expansion or diversification of the opinion base.

As of 2026-09-14
Revisions momentum · 30d
⁦+7.1%⁩
Average rating
★ 2.60
Hold
Analyst coverage
5
Buy conviction
0%
Target dispersion
20%
Analyst ratings over time5 analysts rating
4
1
Strong BuyBuyHoldSellStrong Sell
Rating trend — last 12 months2.71 → 2.60
Recent analyst moves
  • = Reiterate2026-03-24
    Citigroup
    Market Perform
  • = Reiterate2026-03-12
    Wells Fargo
    —· $14.00
  • = Reiterate2025-12-01
    UBS
    Positive
Premium content
Key Financials

Ten ratios that matter, each compared against its sector median and average — so you can see whether a number is rich or cheap relative to peers in the same sector.

StockSector medianSector averagetypical sector range
MetricValuePosition within sectorVerdict
  • P/E (TTM)
    13.78x
    4.39x35.10x
    Cheap
  • Forward P/E
    18.57x
    3.54x28.32x
    Near median
  • EV / EBITDA
    9.74x
    2.74x21.94x
    Cheap
  • FCF Yield
    39.2%
    -28.4%17.9%
    Exceptional
  • Revenue Growth YoY
    -13.2%
    -14.5%30.9%
    Weak
  • EPS Growth YoY
    -55.2%
    -156.8%135.1%
    Near median
  • Gross Margin
    19.5%
    11.6%66.2%
    Below average
  • ROIC
    26.8%
    -23.8%21.5%
    Exceptional
  • Net Debt / EBITDA
    1.07x
    0.65x5.35x
    Low debt
  • Dividend Yield
    14.9%
    0.0%5.5%
    High
  • Payout Ratio
    212.4%
    12.6%116.1%
    High
  • Altman Z-Score
    —
    —
Financial Analysis
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