Symbol Description Ent Val P/E ROE Div Yield Debt/Equity P/B ProfitMargin Debt/CF H-Rank C-Rank
ABLV Able View Global Inc 20 M 13 124   289 0.38 5.8 3.4 28.5 8
ADTH AdTheorent Holding Company Inc 245 M Inf 0.00   4.0 1.8 0.00 2.3 37.8 21
ADV Advantage Solutions Inc 3.1 B   -5.2   173 1.2 -1.5 8.0 56.7 50
ANTE AirNet Technology Inc -16 M   -1630     0.78 0.00   71.4 81
BAOS Baosheng Media Group Holdings Limited -1.2 M   -32   3.2 0.12 0.00 0.17 35.5 17
BOC Boston Omaha Corporation 562 M 791 -0.32   14 0.92 0.34 5.4 38.3 23
CCO Clear Channel Outdoor Holdings Inc 7.7 B           -14   87.0 119
CDLX Cardlytics Inc 796 M   -77   197 4.2 -43 -1438 78.7 98
CHR Cheer Holding Inc -162 M   13   2.1   20   48.5 27
CMPR Cimpress plc 3.8 B 58         1.3   75.3 84
CNET ZW Data Action Technologies Inc 7.1 M   -68   20 0.82 -28 -5.3 62.5 63
CRTO Criteo S A 1.7 B 39 5.0   10.0 1.8 2.7 0.54 31.0 14
CTV Innovid Corp 260 M   -15   11 1.5 -22 1.8 50.9 36
DLPN Dolphin Entertainment Inc 43 M   -64   113 0.79 -39 -5.3 68.0 73
DLX Deluxe Corporation 2.5 B 33 4.3 6.2 280 1.4 1.2 8.5 47.0 34
DRCT Direct Digital Holdings Inc 407 M 85 81   381 60 3.1 7.2 48.8 37
EEX Emerald Holding Inc 1.1 B   -1.9   102   -2.1   70.3 77
EVC Entravision Communications Corporation 318 M   -5.7 14 98 0.59 -1.4 3.5 48.1 34
FLNT Fluent Inc 57 M   -98   100 1.1 -21 4.2 60.9 56
HAO Haoxi Health Technology Limited 219 M   1923   60   3.4   56.4 45
IAS Integral Ad Science Holding Corp 1.6 B 238 0.84   20 1.7 1.5 1.4 37.0 21
ICLK iClick Interactive Asia Group Limited 154 M   -125   68 0.80 -116 -0.20 67.1 70
INUV Inuvo Inc 49 M   -53   5.6 3.1 -14 -0.37 62.5 61
IPG Interpublic Group of Companies Inc 15 B 11 28 3.8 115 3.1 10.0 8.4 36.1 19
LDWY Lendway Inc -4.6 M 1.2 60   0.92 0.65 10.0 -0.00 8.9 1
MCHX Marchex Inc 41 M   -24   3.7 1.7 -19 -0.17 58.4 54
MGNI Magnite Inc 1.9 B   -21   86 2.3 -25 2.8 59.7 53
MGOL MGO Global Inc 2.7 M   -856     1.6 -127   83.3 108
NCMI National CineMedia Inc 489 M 0.35     4.0 1.2 426 0.02 25.7 5
NEXN Nexxen International Ltd 643 M   -3.9   25   -6.5   67.3 70
OMC Omnicom Group Inc 22 B 13 33 3.0 147 5.1 9.5 4.8 37.3 22
QNST QuinStreet Inc 851 M   -31   2.9 4.4 -14 776 60.7 56
STCN Steel Connect Inc 53 M 9.2 12   12 0.70 12 2.6 19.9 6
STGW Stagwell Inc 2.5 B Inf 4.6   178 1.9 0.01 18 51.6 41
SWAG Stran & Company Inc 5.8 M Inf 0.14   3.4 0.62 0.08 1.8 31.1 14
TSQ Townsquare Media Inc 676 M   -108 6.8 5569 28 -9.9 8.1 75.0 90
TZOO Travelzoo 144 M 13 135   104 34 14 0.87 32.0 18
VSME VS Media Holdings Limited 9.2 M   -401       -48   88.5 124
WIMI WiMi Hologram Cloud Inc -331 M   -28   4.5 0.08 -62 -0.22 53.8 48
WPP WPP plc 53 B 69 4.9 0.88 179 14 0.74 5.6 51.0 42
XNET Xunlei Limited 225 M 5.7 4.5   7.1 0.29 3.9 1.6 19.3 5
ZD Ziff Davis Inc 3.2 B 70 2.2   54 1.5 3.0 3.2 38.3 23

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