Symbol Description Ent Val P/E ROE Div Yield Debt/Equity P/B ProfitMargin Debt/CF H-Rank C-Rank
AGM Federal Agricultural Mortgage Corporat 29 B 11 14 2.4 1969 2.2 57 73 38.2 14
AIHS Senmiao Technology Limited 13 M   -53   20 4.3 -50 2.3 61.1 33
ALLY Ally Financial Inc 28 B 12 7.7 3.2   1.00 14   54.4 30
ATLC Atlanticus Holdings Corporation 2.3 B 7.1 20   380 1.1 29 4.4 28.3 9
AXP American Express Company 175 B 19 31 1.1 216 5.7 15 3.3 40.3 17
BFH Bread Financial Holdings Inc 3.8 B 2.7 28 2.2 186 0.66 23 2.7 19.3 3
CACC Credit Acceptance Corporation 12 B 25 16   289 4.0 31 4.2 39.1 15
COF Capital One Financial Corporation 65 B 11 8.8 1.8   0.98 18   51.4 26
CPSS Consumer Portfolio Services Inc 2.7 B 4.3 18   935 0.60 21 10.0 25.1 5
DFS Discover Financial Services 41 B 10.0 20 2.2 143 2.2 29 2.5 31.9 11
DXF Dunxin Financial Holdings Limited 594 M   -17   52 0.00 0.00 -22 52.6 30
ENVA Enova International Inc 4.6 B 11 14   239 1.4 16 2.5 36.5 15
EZPW EZCORP Inc 965 M 13 6.8   78 0.74 4.6 5.5 36.3 12
FCFS FirstCash Holdings Inc 7.1 B 24 11 1.1 96 2.7 7.0 4.6 44.4 20
FINV FinVolution Group -1.3 B 4.1 18 0.00 0.30 0.09 18 0.03 10.3 0
FOA Finance of America Companies Inc 9.3 B   -49   3404 0.33 -34 -129 62.4 39
IX Orix Corp 5.3 T 13 7.8 78 157 0.03 10.0 4.7 33.2 9
LC LendingClub Corporation -355 M 21 3.2   3.7 0.68 3.4 -0.04 38.0 15
LMFA LM Funding America Inc 4.9 M   -77   0.79 0.18 0.00 -0.03 49.0 26
LPRO Open Lending Corporation 746 M 39 10.0   72 4.1 18 1.8 42.6 17
LX LexinFintech Holdings Ltd 4.8 B 1.9 14 42 68 0.03 10.0 4.9 21.0 3
MA Mastercard Incorporated 459 B 40 167 0.49 235 65 44 1.4 36.2 11
MCVT Mill City Ventures III Ltd 15 M   -5.6   0.08 0.82 -31 0.01 46.2 15
MFIN Medallion Financial Corp 2.2 B 3.1 15 4.5 514 0.48 20 18 25.8 5
NAVI Navient Corporation 59 B 9.0 8.0 3.9 2094 0.68 19 85 36.0 12
NICK Nicholas Financial Inc 43 M   -47   0.23 0.85 0.00 0.37 45.3 17
NISN NiSun Intl Enterprise Development Grou -99 M 1.2 7.5   1.7 0.09 6.1 0.06 18.3 0
NNI Nelnet Inc 15 B 36 1.7 1.2 367 1.00 7.8 27 51.9 28
OBDC Blue Owl Capital Corporation 12 B 7.5 13 8.8 117 0.99 50 6.2 25.8 7
OCSL Oaktree Specialty Lending Corporation 3.1 B 12 8.4 11 109 1.00 28 4.9 34.9 13
OMF OneMain Holdings Inc 25 B 9.3 20 8.3 627 1.9 25 7.9 36.4 15
OPFI OppFi Inc 346 M 6.9 22   172 0.23 -0.44 1.1 25.4 2
OPRT Oportun Financial Corporation 2.9 B   -37   726 0.22 -20 7.5 57.7 30
PMTS CPI Card Group Inc 473 M 8.3         5.4   69.1 48
PRAA PRA Group Inc 3.8 B   -5.3   240 0.79 -10.0 -30 61.2 38
PT Pintec Technology Holdings Limited 742 M           -96   87.2 81
PYPL PayPal Holdings Inc 65 B 16 20   56 3.2 14 2.4 35.8 13
QD Qudian Inc -8.8 B 19 0.33   0.60 0.04 30 1.8 25.2 7
QFIN Qifu Technology 2.6 B 5.3 20 41 4.1 0.13 26 0.13 9.0 0
RM Regional Management Corp 1.7 B 13 5.1 5.2 444 0.70 3.0 5.7 40.1 15
SEZL Sezzle Inc 387 M 51 45   433 16 4.5 -3.7 51.2 27
SLM SLM Corporation 5.8 B 8.6 32 2.1 277 2.8 39 -36 35.8 12
SLMBP SLM Corporation 17 B 33 32 0.61 277 9.8 39 -36 43.2 17
SNTG Sentage Holdings Inc 4.1 M   -18   0.83 0.52 0.00 -0.02 49.1 26
SOFI SoFi Technologies Inc 9.4 B   -5.4   96 1.3 -14 -0.74 65.6 44
SYF Synchrony Financial 20 B 8.1 16 2.3   1.3 29   45.0 19
UPST Upstart Holdings Inc 3.0 B   -36   195 3.3 -43 -7.8 72.4 54
V Visa Inc 581 B 33 46 0.68 52 15 53 1.00 30.7 6
WRLD World Acceptance Corporation 1.4 B 11 17   163 1.9 11 2.5 37.2 15
WU Western Union Company (The) 6.0 B 8.0 130 6.9 556 9.9 14 3.4 36.4 17
XYF X Financial 443 M 1.2 24   10.0 0.04 27 0.47 8.2 0
YRD Yiren Digital Ltd -4.5 B 1.7 30   0.73 0.06 42 0.03 4.4 0

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