On March 31, 2025, Chuck Royce (Trades, Portfolio) executed a significant reduction in holdings of Faro Technologies Inc. The transaction involved a decrease of 287,910 shares, representing a 21.47% change in the position. This move reflects a strategic decision by the firm to adjust its investment in the company, which specializes in 3D measurement and imaging solutions. The shares were traded at a price of $27.30, impacting the firm's portfolio by -0.07%. Post-transaction, the firm holds 1,053,329 shares, which constitute 0.27% of the portfolio and 5.55% of the company's total shares.
Charles M. Royce is renowned as a pioneer in small-cap investing, having managed the Royce Pennsylvania Mutual Fund since 1972. The firm's investment philosophy focuses on smaller companies with strong balance sheets, a record of success, and potential for profitability. Royce's approach is to identify stocks trading below their estimated enterprise value, seeking opportunities in companies with market capitalizations up to $5 billion, and occasionally up to $10 billion. The firm's top holdings include SEI Investments Co (SEIC, Financial), Air Lease Corp (AL, Financial), Enovis Corp (ENOV, Financial), Kennedy-Wilson Holdings Inc (KW, Financial), and Arcosa Inc (ACA, Financial).
Faro Technologies Inc., based in the USA, is a technology company that designs, develops, and supports software-driven, three-dimensional (3D) measurement and imaging solutions. These solutions serve various industries, including 3D metrology, architecture, engineering, construction, operations and maintenance, and public safety analytics. The company has a market capitalization of $808.527 million and is considered significantly overvalued with a GF Value of 21.39. The current stock price is $42.045, with a Price to GF Value ratio of 1.97, indicating a substantial overvaluation.
Faro Technologies' stock is currently priced at $42.045, with a PE percentage of 0.00, indicating a loss. The company's GF Score is 60/100, suggesting poor future performance potential. The stock's GF Value Rank is 1/10, further emphasizing its overvaluation. Despite these challenges, the company has shown a 54.01% gain since the transaction and a 61.46% year-to-date price change. However, its growth profile is mixed, with a 52.70% EBITDA growth over three years but a negative revenue growth of -1.30%.
Faro Technologies has demonstrated a mixed performance in recent years. The company's Growth Rank is 2/10, reflecting challenges in sustaining consistent growth. The Profitability Rank is 4/10, indicating moderate profitability issues. The Financial Strength is rated 7/10, suggesting a relatively stable balance sheet. The Piotroski F-Score is 5, and the Altman Z score is 2.61, indicating moderate financial health.
Fisher Asset Management, LLC is the largest holder of Faro Technologies shares, showcasing confidence in the company's potential. Other notable holders include Keeley-Teton Advisors, LLC (Trades, Portfolio), which also maintains a stake in the company. These holdings reflect a continued interest in Faro Technologies despite its current valuation challenges.
The reduction in Chuck Royce (Trades, Portfolio)'s holdings of Faro Technologies Inc. reflects a strategic portfolio adjustment. The transaction's impact on the firm's portfolio was minimal at -0.07%, yet it signifies a reevaluation of the company's future prospects. Despite the stock's significant overvaluation, its recent price gains and year-to-date performance may offer potential opportunities for other investors. However, the firm's decision to reduce its stake suggests caution regarding the company's long-term growth and profitability potential.
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