Filed revenue acceleration
Active · now 58.561151960464606%TTM revenue growth is at least 10% and improved versus the prior filed quarter; event date is the SEC filing date.
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quality needs a look, premium valuation.
Quality is weaker than peers. Operating margin is only around the 46th percentile. TTM ROE is about 4.3%.
Valuation is expensive. TTM P/E is in the 84th percentile, above most peers.
Recent volatility is elevated. 60-day annualized volatility is in the 74th percentile. Average 20-day dollar volume is about $171.2M.
Signals are active now. Filed revenue acceleration, EPS surprise beat currently holds; the tables below show what followed in this stock’s own history.
Each active condition is tested against this stock’s own history and benchmarked versus the S&P 500.
TTM revenue growth is at least 10% and improved versus the prior filed quarter; event date is the SEC filing date.
Reported EPS beat consensus estimate by at least 5%; event date is the earnings-surprise timestamp.
120 days after: historical avg +15.85%
Over 26 occurrences, 120-day forward avg gained 15.85%, beat the market by 10.45 pts; win rate 73.1%.
Daily TTM P/E is converted into an expanding own-history percentile, then grouped into five valuation regimes. Forward returns use adjusted prices over the next 240 trading days.
| PE percentile band | Sample days | 240-day avg return | Median | Win rate | Avg excess (vs index) |
|---|---|---|---|---|---|
| 0-20 | 180 | +33.1% | +30.6% | 100% | +7.4% |
| 20-40 | 106 | +29.4% | +28.6% | 100% | +17.6% |
| 40-60 | 163 | +60.8% | +68.4% | 100% | +40.7% |
| 60-80 | 216 | +69.9% | +62.6% | 100% | +63.7% |
| 80-100 You are here | 538 | +24.3% | +15.3% | 73.2% | +16.5% |
Quarterly EPS is aligned by SEC filing date before it is forward-filled to daily prices. The expanding percentile uses only information available up to each day.
Current TTM P/E is about 33.19, placing it in the 92.7 own-history percentile, inside the 80-100 bucket.
Each historical day is grouped by own-history P/E tercile and 60-day momentum direction, then tested for the next 120-trading-day adjusted return.
Currently in “Expensive (own-history top third) × 60-day momentum down”: across 201 historical days, 120-day forward avg gained 7.5%, win rate 60.7%, beat the market by 5.8%.
Days = trading days in this bucket; returns use adjusted prices, ex-costs. 60-day momentum: direction of this stock's price over the past 60 trading days.
Across 97,878 liquid US common-stock samples, top-quintile 6-month momentum was followed by an average 60-trading-day return of +6.26%, a 58.3% positive-return rate, and +2.90 percentage points of average excess return versus the S&P 500.
Baseline: weekly samples since 2016 where a liquid US common stock ranked in the top quintile by 126-trading-day momentum. Forward return is 60 trading days; excess return is versus S&P 500 (^GSPC).
Inactive signals still show the stock-specific historical forward-return distribution for context.
Adjusted close first reaches a 252-trading-day high; repeated hits within 20 days count once.
23 times historically; 60-day forward avg +1.68%, win rate 56.5%, beating the market by +0.3 pts on average.
The stock ranks in the top 20% of the liquid US common-stock universe by 126-day adjusted return.
22 times historically; 60-day forward avg +14.57%, win rate 76.2%, beating the market by +9.38 pts on average.
This page is for historical data analysis and education only. It is not investment advice. Backtests and historical return distributions do not predict future performance; evaluate risk independently before trading.