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MRE

Martinrea International Inc.
Chart
11.08 CAD
Latest Week 2026-06-05
Snapshot 2026-06-07 · 0.0w · Fresh
0.89
OS Score
99.0%
Value
31.0%
Quality
64.0%
Momentum
#44.00000000
TV Rank
7/9
F-Score
0.554
QV
Strategy Eligibility
9 of 23 passing
OS Composite
OS 0.890
Trending Value
#44.00000000
Quality × Value
🏛
Cornerstone Value
🌿
Cornerstone Growth
💎
Deep Value
P/E 6.7
VC2 Cheapest
VC2 1.00000000
📐
EBITDA/EV
27.5%
Veiled Value
Piotroski Bargains
F7
🔬
Quality Compounders
📈
Consistent Earners
🌱
GARP
🔄
Shareholder Yield
4.2%
💰
High Yield
🚀
Momentum Leaders
12-1 32%
Market Leaders
Tiny Titans
🔍
Small Cap Value
Val 99th
🛡
Low Volatility
🏷
Sector Cheapest
🧠
Capital Allocators
Risk-Adj Momentum
V
Value Analysis
Cheapness relative to fundamentals
99.0%ile
P/E
6.7×
P/S
0.2×
P/B
0.5×
E/P
0.1457
FCF Yield
0.093
EBITDA/EV
0.275
SH Yield
0.042
Relative Strength Across Value Dimensions
Multiples & Yields — Decomposition
VC1 (5-Factor)
1.00000000
/100 — 1=cheapest
VC2 (Trending Value)
1.00000000
/100
VC3 (Buyback)
1.00000000
/100
P/E of 6.7x places this firmly in deep value territory. FCF yield of 9.3% is strong — the business generates significant free cash relative to price. VC2 score of 1.00000000/100 puts this in the cheapest decile of the universe — prime Trending Value territory.
Q
Quality Analysis
Profitability, efficiency, balance sheet & earnings quality
31.0%ile
ROE
0.076
ROA
0.030
Net Margin
0.025
Op Margin
0.056
GPA
0.166
Current
1.27
F-Score
7/9
Quality Radar — Relative Strength
Profitability & Leverage Breakdown
Rev Growth
-0.038
Stability
0.380
lower=better
Accruals
-0.072
lower=better
5yr Consist
No
M
Momentum & Risk
Price trend, volatility regime, risk-adjusted returns
64.0%ile
6M Return
14.9%
12M Return
35.0%
12-1 Mom
31.6%
Risk-Adj
0.93
Vol 252d
33.8%
Vol 60d
68.7%
↑ Expanding
Max DD 12M
-22.7%
Return Comparison — 6M / 12M / 12-1
Volatility Regime — 60d vs 252d
12-1 momentum of 32% is very strong — a clear uptrend. Near-term vol (69%) is expanding vs long-term (34%) — risk is increasing.
OS
Composite & Factor Heatmap
All factors at a glance
0.89
Pillar Balance — Value / Quality / Momentum
Factor Heatmap — green=strong, red=weak
Sector Context
Consumer Cyclical · 50 peers
Sector Value %ile
100.0%
Sector Quality %ile
31.4%
P/E z-score
-0.41
P/B z-score
-0.37
Sector Avg OS
55.4%
Ticker vs Sector Averages
Relative Valuation Z-Score
Top Sector Peers (By OS)
SymbolNameOSValueQualityMomentum
TCL-A Transcontinental Inc. 99.0% 99.0% 90.0% 81.0%
TCL-B Transcontinental Inc. 98.0% 98.0% 90.0% 75.0%
LNR Linamar Corporation 97.0% 98.0% 70.0% 76.0%
UNI Unisync Corp. 97.0% 88.0% 83.0% 85.0%
ICE Canlan Ice Sports Corp. 96.0% 93.0% 86.0% 68.0%
CAS Cascades Inc. 93.0% 95.0% 91.0% 32.0%
ROOT Roots Corporation 93.0% 86.0% 77.0% 68.0%
MG Magna International Inc. 92.0% 81.0% 63.0% 83.0%
Factor Interactions
Strong Capital Return
Shareholder yield 4.2% backed by 9.3% FCF yield. Returns are well-funded.
Volatility Expanding
60-day vol (69%) significantly exceeds 252-day (34%). Near-term risk is elevated.
Factor Analysis
Comprehensive factor intelligence — strengths, weaknesses & cross-factor profile
Value
A
90.3% avg (7 factors)
Quality
D
35.0% avg (7 factors)
Momentum
B
63.1% avg (4 factors)
Risk
B
60.3% avg (1 factors)
Deep value territory, but quality is concerning. This is either a turnaround opportunity or a value trap — the F-Score and accruals ratio will be key differentiators.
▲ Top Strengths — highest scoring factors
▼ Key Weaknesses — lowest scoring factors
Factor Persistence1 snapshots
FactorCurrentStreakTrendSpark
OS Composite0.890—1
Value %ile0.990—1
Quality %ile0.310—0
Momentum %ile0.640—0
F-Score7.000—1
Confidence0.909—1
Volatility0.338—0
Value FactorsCheapness relative to fundamentals — lower multiples = cheaper
P/E Ratio
6.69
Earnings Yield (E/P)
0.1457
Price / Sales
0.16
Price / Book
0.51
Price / Cash Flow
1.97
FCF Yield
9.3%
EBITDA / EV
27.5%
Sales Yield (1/P·S)
2.5859
Shareholder Yield
Div + net buyback / mktcap
4.2%
Quality FactorsProfitability, efficiency, and balance sheet strength
Return on Equity
7.6%
Return on Assets
3.0%
Net Margin
2.5%
Operating Margin
5.6%
Gross Profit / Assets
Novy-Marx GPA
16.6%
Current Ratio
1.27
Accruals Ratio
(NI-OCF)/Assets — lower=better
-0.072
External Financing
Net issuance — lower=better
0.005
MomentumPrice trend strength over different horizons
6M Return
14.9%
12M Return
35.0%
12-1 Momentum
Jegadeesh-Titman (skip recent month)
31.6%
Risk-Adjusted Momentum
Mom 12-1 ÷ Vol
0.93
Growth & StabilityEarnings trajectory, consistency, and capital allocation
Revenue Growth (YoY)
-3.8%
Earnings Stability (CV)
Lower = more stable
0.380
5yr Consistent
EPS up every year for 5 years
No
Piotroski F-Score
7
Dividend Yield
0.0%
Buyback Yield
2.4%
O'Shaughnessy CompositesValue Composites (WWOWS 4th Ed) — 1=cheapest, 100=most expensive
VC1 (5-factor)
P/E+P/S+P/B+P/CF+EBITDA/EV
1
VC2 (6-factor)
VC1 + Shareholder Yield — used for Trending Value
1
VC3 (6-factor)
VC1 + Buyback Yield — no dividend preference
1
Trending Value Rank
1=best. Top VC2 decile by 6M momentum
44
Capital Allocation & AlphaAlpha within factors — quality of management decisions
Veiled Value
Expensive by P/B, cheap by everything else
No
Market Leader
Above-avg mcap+revenue, non-utility
No
All Stocks Universe
Market cap > $200M
Yes
Tiny Titan
Micro-cap, low P/S, positive momentum
No
Quarterly Fundamentals
Revenue
Net Income
FCF
Net Margin
Show all
Op Income
OCF
CapEx
Equity
Annual Fundamentals
Revenue
Net Income
FCF
Net Margin
Show all
Op Income
OCF
CapEx
Equity