Schneider Story

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SNDR -- USA Stock  

USD 24.85  0.27  1.07%

As many rational traders are trying to avoid industrials space, it makes sense to sum up Schneider National a little further and understand how it stands against Yamato Holdings and other similar entities. We are going to discuss some of the competitive aspects of both Schneider and Yamato.
Published over two months ago
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Will Yamato Holdings retail investors switch to Schneider (NYSE:SNDR)?
By analyzing existing technical and fundamental indicators between Schneider National and Yamato, you can compare the effects of market volatilities on both companies' prices and check if they can diversify away market risk if combined in one of your portfolios. You can also utilize pair trading strategies for matching a long position in Yamato with a short position in Schneider National. Check out our pair correlation module for more information.

Let's begin by analyzing the assets. The asset utilization indicator refers to the revenue earned for every dollar of assets a company currently reports. Schneider National has an asset utilization ratio of 144.26 percent. This connotes that the company is making $1.44 for each dollar of assets. An increasing asset utilization means that Schneider National is more efficient with each dollar of assets it utilizes for everyday operations.
Out of tens of thousands of stocks, funds, and ETFs that trade on global exchanges each represent an individual company which you can analyze using comparative analysis. To determine which one of the two companies, such as Schneider or Old Dominion is a better fit for your portfolio, analyzing a few basic fundamental indicators is a good first step.

UNDERSTANDING Schneider National dividends

A dividend is the distribution of a portion of Schneider National earnings, decided and managed by the company's board of directors and paid to a class of its shareholders. Note, announcements of dividend payouts are generally accompanied by a proportional increase or decrease in a company's stock price. Schneider National dividend payments follow a chronological order of events, and the associated dates are important to determine the shareholders who qualify for receiving the dividend payment. Schneider one year expected dividend income is about $0.14 per share.
Investing in dividend-paying stocks, such as Schneider National is one of the few strategies that are good for long-term investment. Ex-dividend dates are significant because investors in Schneider National must own a stock before its ex-dividend date to receive its next dividend. This type of analysis is very useful when you want to generate a past dividend schedule and payout information for Schneider National. Then that information in the form of graph and calendar can be used to fully explain how Du Pont dividends can provide a real clue to its valuation.

How important is Schneider National's Liquidity

Schneider National financial leverage refers to using borrowed capital as a funding source to finance Schneider National ongoing operations. It is usually used to expand the firm's asset base and generate returns on borrowed capital. Schneider National financial leverage is typically calculated by taking the company's all interest-bearing debt and dividing it by total capital. So the higher the debt-to-capital ratio (i.e., financial leverage), the riskier the company. Please check the breakdown between Schneider National's total debt and its cash.

What do experts say?

Stock analysis is a method for investors and traders to make buying and selling decisions. By studying and evaluating past and current data, investors and traders attempt to gain an edge in the markets by making informed decisions. It is good to see analyst projects for Schneider National, but it might be worth checking our own buy vs. sell analysis

Correlation Between Schneider and Old Dominion Freight

In general, stock analysis is a method for investors and traders to make individual buying and selling decisions. Stock correlation analysis is also essential because it can help investors realize that they may not be as diversified as they think. Risk management strategies are usually required to make sure all portfolios are properly aligned against their risk tolerance level. You can consider holding Schneider National together with similar or unrelated positions with a negative correlation. For example, you can also add Old Dominion to your portfolio. If Old Dominion is not perfectly correlated to Schneider National it will diversify some of the market risks out of the positively correlated stocks in your portfolio. However, the disadvantage of this sort of hedging is that it can potentially affect your investment returns throughout market cycles. When Schneider National for example, for example, performs excellent and delivers stable returns, the negatively correlated position you locked in as a hedge may drag your returns down. Please check pair correlation details between SNDR and ODFL for more information.

What is driving Schneider National Investor Appetite?

Revenue is income that a firm generates from business activities such us rendering services or selling goods to customers. It is a crucial part of a business and an essential item when evaluating a company's financial statements. Revenues from a firm's primary business operations can be reported on the income statement as sales revenue, net sales, or simply sales, depending on the industry in which a given company operates.
Revenue is typically recorded when cash or cash equivalents are exchanged for services or goods and can include product or services discounts, promotions, as well as early payments on invoices or services rendered in advance.

Revenue Breakdown

Lets now take a look at Schneider National revenue. Based on the latest financial disclosure, Schneider National reported 4.67 B of revenue. This is 33.48% higher than that of the Industrials sector and 52.95% higher than that of the Trucking industry. The revenue for all United States stocks is 50.5% higher than that of Schneider National. As for Yamato Holdings we see revenue of 14.51 B, which is 375.22% higher than that of the Trucking

Schneider4.67 Billion
Sector3.05 Billion
Yamato14.51 Billion
4.7 B
3.1 B
14.5 B

Our take on Schneider National small slump

Latest Sortino Ratio is up to 0.04. Price may slump again. Schneider National currently demonstrates below-verage downside deviation. It has Information Ratio of 0.04 and Jensen Alpha of 0.16. However, we do advice investors to further question Schneider National expected returns to ensure all indicators are consistent with the current outlook about its relatively low value at risk.

The Current Takeaway on Schneider National Investment

While some other entities under the trucking industry are still a bit expensive, Schneider National may offer a potential longer-term growth to retail investors. With an optimistic outlook on your 30 days horizon, it may be a good time to buy new shares of Schneider or increase your existing holdings in the Stock as it seems the potential growth has not yet been fully factored into the current price. Please use our equity advice module to run different scenarios to ensure your current risk level and investment horizon are fully reflective of your current investing preferences in regards to Schneider National.

About Contributor

This story should be regarded as informational only and should not be considered a solicitation to sell or buy any financial products. Macroaxis does not express any opinion as to the present or future value of any investments referred to in this post. This post may not be reproduced without the consent of Macroaxis LLC. Macroaxis LLC and Vlad Skutelnik do not own shares of Schneider National. Please refer to our Terms of Use for any information regarding our disclosure principles.

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