CLC Fundamental Research Investment Analysis, Clarcor Inc.

Stock Research iPhone App Coming Soon to the AppStore Click here to register for newsletter and report access
close nav

Clarcor Inc. (CLC)

The Razor's Edge

2-Year Price History

Recent Price
(1/7/2009)
$31.23
52-Week Price
$25.03 - $44.25
Market Capitalization
$1.6 Billion
Dividend Yield
1.20%
Most Recent Dividend
$0.30

About Clarcor Inc.

Clarcor Inc. is considered to operate in the Consumer Goods sector. They specifically operate in the Automotive Parts business segment contained within the Automotive industry.

The Company conducts its business in three industry segments: engine/mobile filtration, industrial/environmental filtration and packaging.

Ockham's Rating

Rating Specific Information Withheld Premium Access Only

CLC Revenue

As a value investing shop, we are interested in seeing how CLC's revenues measure up against past performances. One easily understandable way of doing that is to compare Price to Sales per share levels over a given time frame. Assuming it is available, Ockham prefers to look at ten years of history (for this stock there are 10 years of history available) and we weigh recent years more heavily. This allows us to find weighted average historical high and low Price to Sales ratios, which give us a better idea of the stock's current underlying value. Using this method, we have established a high range for Price to Sales of 1.87x and the low end of the range at 1.32x.

With respect to these historically rational metrics, notice that the current Price to Sales per share ratio for CLC of 1.45x is slightly under its historical average. This level of Price to Sales gives us a fairly neutral position on the CLC shares. We would like to see a drop in the Price to Sales ratio just a little bit more (given current sales figures) before we would become more positive on a Price to Sales basis. Such a drop would increase the attractiveness of the stock but, as always, would need to be considered in the context of all other valuation factors.

CLC Cash Earnings

As a value investment framework, Ockham Research is similar to a private equity firm in terms of our valuation methods. We are always on the lookout for value in the form of sales and cash numbers. In the case of CLC, Ockham views their current Cash Earnings as below its historical average multiple of Cash Earnings. Looking at the last 10 years we can get a good understanding of what investors have grown to expect from CLC. For example, CLC's Cash Earnings ratio per share has fluctuated between 11.78 and 16.68 over this historical timeframe. This range is based upon a proprietary weighted methodology at Ockham, but can clearly show an investor where CLC is with respect to prior business periods.

So what does a Cash Earnings ratio below the historical norm mean for CLC? Generally, CLC's investors have paid slightly higher stock prices for this level of Cash Earnings, which bodes well as a return to historical norms is statistically likely. However, it is never a guarantee that history gives us proper direction, particularly in fluctuating market cycles. So by utilizing a long term view and incorporating other areas of analysis (like Sales, Dividends, and management analysis), each investor can gain a more complete view of CLC. Remember, that the average Cash Earnings level for CLC has been 14.23, so the current Cash Earnings level of 12.33 is a positive in our view, but by no means is it overwhelming.

CLC Dividends

A strong dividend payment history is looked upon as a favorable characteristic on a company’s future and potentially can receive a positive Ockham rating. That being said, we don't require dividend payments for company's whose management has elected to forgo them entirely.

When reviewing dividend yields for CLC, we compare the historic high and low levels over the past, which is similar to our evaluation of Sales and Cash Earnings per share. Paying a dividend is not necessary for any company, but changes in dividend often can lend clues as to the health of the business. A rising dividend is a strong sign for an established company, as it reflects management's confidence in the company. CLC’s estimated annual dividend is $0.36 resulting in a current dividend yield of 1.07%. The highest dividend yield from CLC over recent history was 2.86% while the lowest dividend yield was 0.68%. With that range in mind, CLC’s current dividend yield is a full 39.55% below its median dividend yield historically. This is a negative from our perspective.

Peer Comparison

:

Clarcor Inc. Industry Grouping

(1/7/2009)
Company Ticker Market Cap (Ml) Latest
Price
Price/Cash Earnings Price/Sales 5-Yr. Rev.
Growth Rate
5-Yr.
Avg. ROE.
Current 10-Yr. Range* Current 10-Yr. Range*
Peer Company Averages (not incuding CLC) 3.75 5.82 » 17.86 0.48 1.07 » 8.02 7.54% 21.68%
*10 year range does not include current year values
Tata Motors Limited ADR TTM $1.9 Billion $4.95 3.31 2.45 » 17.63 0.21 0.69 » 3.09 n/a 19.82%
Tomkins PLC TKS $1.8 Billion $8.24 2.25 2.06 » 11.20 0.31 0.26 » 4.16 3.25% 23.82%
Clarcor Inc. CLC $1.6 Billion $31.23 12.33 6.38 » 18.95 1.45 0.60 » 9.33 5.18% 15.42%
Autoliv Inc ALV $1.6 Billion $22.25 2.17 3.26 » 7.90 0.22 0.36 » 3.48 8.78% 13.04%
WABCO Holdings, Inc. WBC $1.2 Billion $17.61 3.50 8.30 » 16.99 0.00 0.00 » 0.00 n/a 37.03%
Gentex Corp. GNTX $1.2 Billion $8.70 7.50 13.04 » 35.59 1.68 4.04 » 29.39 10.59% 14.68%
Ockham Ratings & Analysis Report
Quarterly Access (100 Days) to:
Clarcor Inc. (CLC)
Price$20
Ockham Research will send you updated investment ratings and research report access as new reports or ratings are published for a full 100 days from the purchase date. Rather than just one report or rating, Ockham Research is committed to updating our clients on every stock they care about on an ongoing basis.

For more information on all our product offerings, click here

Community Discussion

  • Be the first to Comment!

Key Fundamentals

CLC - Clarcor Inc. Fundamentals
Price (1/7/2009) $31.23
Volume (1/7/2009) 637,600
10 Day Average Volume 358,600
13 Week Price Range $25.03 - $37.40
52 Week Price Range $25.03 - $44.25
LTM Revenue $1.0 Billion
 
Shares Outstanding (11/2007) 50.8 Million
Market Capitalization $1.6 Billion
Shares Held By Institutions 46.5 Million
Insitutional Holders 194
% Shares Held By Institutions 91.50%
Earnings Per Share (EPS) $1.78
P/E Ratio 17.10
Book Value Per Share $12.84
 
Gross Margin 34.30%
Quarterly Dividend 0.36
Dividend Yield 1.20%
Beta 1.05
Fiscal Year Ends November