BTO
Signal
Bearish Setup2
Price
1
Move-2.18%Negative session
Volume
1
Volume1.1× avgNormal activity
Technical
1
RSIRSI 42Momentum negative
PRICE
Prev Close
36.25
Open
36.03
Day Range35.45 – 36.37
35.45
36.37
52W Range32.01 – 39.85
32.01
39.85
44% of range
VOLUME & SIZE
Avg Volume
49.9K
FUNDAMENTALS
P/E Ratio
10.1x
Value territory
EPS (TTM)
Div Yield
0.07%
Beta
0.89
Market-like
Performance
1D
-2.18%
5D
-4.96%
1M
-5.47%
3M
-7.90%
6M
+6.71%
YTD
+1.08%
1Y
+1.49%
Best: 6M (+6.71%)Worst: 3M (-7.90%)
Quick Read
TrendInsufficient MA data
Momentum
NEUTRAL
39% gross margin
Valuation
CHEAP
P/E 10x vs ~20x sector
Health
MODERATE
CR 0.0 (low) · FCF $0.47/sh
Bullish
Key MetricsTTM
Market Cap$702.70M
Revenue TTM$119.46M
Net Income TTM$210.95M
Free Cash Flow$33.27M
Gross Margin39.5%
Net Margin106.1%
Operating Margin115.9%
Return on Equity10.1%
Return on Assets8.3%
Debt / Equity0.18
Current Ratio0.00
EPS TTM$3.53

Intelligence analysis not yet available for this stock. Full AI-powered analysis may be available on the intelligence page.

Health Radar
2 strong2 watch2 concern
43/100
Liquidity
0.00Concern
Leverage
0.18Strong
Coverage
24.0xStrong
ROE
10.1%Watch
ROIC
9.0%Watch
Cash
$0Concern
Analyst Coverage

No analyst coverage available for this stock.

Stock Health
Composite Score
0 of 3 signals bullish
0/10
Technicals
RSI RangeRSI 42 — Bearish momentum
Volume
Volume FlowDistribution — institutional selling
Fundamentals
LiquidityCurrent Ratio 0.00 — liquidity risk

2 signals unavailable — limited data for this stock

Upcoming Events
EEarnings ReportMay 17, 2026
Tomorrow
DEx-Dividend DateAug 14, 2026
In 90 days
PDividend PaymentAug 20, 2026
In 96 days
Technicals
Technical SetupBEARISH
Technicals →

Trend

PullbackGolden Cross · 50D leads 200D by 8.3%

-2.7% vs SMA 50 · +5.4% vs SMA 200

Momentum

RSI42.3
Momentum fading
MACD-0.02
Below zero — bearish pulse · compressing
Market Position
Price Levels
52W High
$39.85+12.4%
EMA 50
$36.34+2.5%
Current
$35.46
EMA 200
$33.67-5.0%
52W Low
$32.01-9.7%
52-Week RangeMid-range
$32.0144th %ile$39.85
Squeeze SetupVolume-based
Distribution Pressure

Distribution pattern detected. More selling days than accumulation over the past 20 sessions. Not a conducive environment for a squeeze.

20-Day Money Flow
Acc days:1
Dist days:6
Edge:+5 dist
Volume Context
Avg Vol (50D)51K
Recent Vol (5D)
52K+2%

Based on volume distribution analysis. Direct short interest data (short float %, days to cover) is not available in current data sources.

Earnings & Analysts

ANALYST ESTIMATES

Consensus of 1 analyst
Analyst revisions:EPS↑ Revised UpRevenue↑ Revised Up

Analyst consensus estimates · Actuals replace estimates as reported

YearRevenue Est.Rev GthEPS Est.EPS GthRangeAnalysts
FY2023
$1.9B
$1.9B$1.9B
$0.30
Low1
FY2024
$1.7B
$1.7B$1.7B
-8.6%$0.32+6.7%
Low1
FY2025
$2.1B
$2.1B$2.1B
+23.0%$0.36+12.5%
Low1
Range confidence:Tight (high)ModerateWide (low)
Insider Activity
SEC Filings →
6 Buys/0 SellsNet Buying
NET BUYERS$12K bought · $0 sold · 30d window
Hurtsellers Christi…Dir
$1
May 6
BUY
Hurtsellers Christi…Dir
$75
May 6
BUY
Hurtsellers Christi…Dir
$6K
May 6
BUY
Hurtsellers Christi…Dir
$6K
May 6
BUY
Phelan Kenneth JDir
$10K
Jan 26
BUY
Wright Thomas RoweDir
$11K
Apr 8
BUY
Financials
Dividends7.33% yield
3 yrs of payments
Annual Yield7.33%
Quarterly Div.$0.6500
Est. Annual / Share$2.60
FrequencyQuarterly
Q2'24
Q3'24
Q4'24
Q1'25
Q2'25
Q3'25
Q4'25
Q1'26

Dividend per payment — last 8 periods

INSTITUTIONAL OWNERSHIP

1
WELLS FARGO & COMPANY/MN
653K
2
Janney Montgomery Scott LLC
193K
3
RAYMOND JAMES FINANCIAL INC
178K
4
LPL Financial LLC
128K
5
STIFEL FINANCIAL CORP
102K
6
FCA CORP /TX
89K
7
NORTH STAR ASSET MANAGEMENT INC
68K
8
Steward Partners Investment Advisory, LLC
54K
News & Activity

BTO News

About

discover our different approach. john hancock investments is a premier asset manager representing one of america’s most trusted brands, with a heritage of financial stewardship dating back to 1862. as a manager of managers, we search the world to find proven portfolio teams with specialized expertise for every fund we offer, then apply vigorous investment oversight to ensure they continue to meet our uncompromising standards. our unique approach to asset management has led to a diverse set of investments deeply rooted in investor needs, along with strong risk-adjusted returns across asset classes. we think it’s a better way to invest. • more than $148 billion in assets under management • 27 distinct asset managers (26 unaffiliated with john hancock) • 71 proven portfolio teams, each with a distinct philosophy and approach • 114 different investment strategies* *includes direct sold and underlying strategies, including etfs • 45 funds rated 4 or 5 stars by morningstar at the highest-rat

Peers(7 companies)
Screen sector →
SymbolPriceDay %Mkt CapP/ERev GrwMarginELO
BTO
$35.46-2.18%$703M10.0-5367.9%10613.0%1500
$404.35-3.20%$2.1T30.5+3296.8%4510.0%1500
$132.58-6.05%$307.9B20.7-44.8%1012.0%1500
$88.38-2.58%$303.7B13.6+318.8%1510.7%1500
$148.08-1.13%$282.6B21.0+597.3%2564.4%1500
$181.58-1.83%$281.6B26.9+862.9%1745.9%1500
$183.40-0.23%$256.1B16.8+213.3%1482.4%1500
Sector avg-2.46%19.9-17.7%3348.3%1500