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Camping World Holdings Inc

CWH | US

6.46

USD

0.04

0.62%

CWH | US

About Camping World Holdings Inc

Sector

Consumer Cyclical

Industry

Recreational Vehicles

Earnings date

30/06/2024

As of date

13/03/2026

Close

6.46

Open

6.47

High

6.63

Low

6.42

Camping World Holdings Inc. together its subsidiaries retails recreational vehicles (RVs) and related products and services. It operates in two segments Good Sam Services and Plans; and RV and Outdoor Retail. The company provides a portfolio of services protection plans products and resources in the RV industry. It also offers extended vehicle service contracts; roadside assistance plans; property and casualty insurance programs; travel protection and planning; and RV and outdoor related consumer shows as well as produces various monthly and annual RV focused consumer magazines; and operates the Coast to Coast Club. In addition the company provides new and used RVs; vehicle financing; RV repair and maintenance services; various RV parts equipment supplies and accessories which include towing and hitching products satellite and GPS systems electrical and lighting products appliances and furniture and other products; and collision repair services comprising fiberglass front and rear cap replacement windshield replacement interior remodel solutions and paint and body work. Further it offers equipment gears and supplies for camping hunting fishing skiing snowboarding bicycling skateboarding and marine and watersports equipment and supplies as well as operates Good Sam Club a membership organization that offers savings on a range of products and services and provides co-branded credit cards. It serves customers through dealerships and online and e-commerce platforms. Camping World Holdings Inc. was founded in 1966 and is headquartered in Lincolnshire Illinois.

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CWH | US

Risk
78.0
Sharpe
-0.91
Luna's Score
24/100
Recommendation
Sell

Luna says (CWH | US)

What's Working

Good Dividend Yield (2% <= Dividend Yield <= 8%)

What's not Working

Price Below SMA10D

High 6-Month Volatility (>65%)

Microcap (<300M USD)

High Market Beta (> 0.8)

High Short percentage (> 15%)

High Debt to Equity (> 0.75)

High Debt to Asset (> 0.45)

Rich in Valuation (Price to Book > 8)

Weak Operating Margin (< 10%)

Declining Revenue (< 0%)

Weak Sharpe Ratio (< 0.3)

Volatility Signals

Bullish: Stable Volatility (6-month <= 1-month volatility) is positive for the stock performance.

Risk Meter

10 days

55.2%

1 month

78.0%

3 months

69.5%

6 months

71.3%

Returns

Fundamental Ratios

PE

-

Fwd. PE

13.44

Price to book

9.85

Debt to equity

36.45

Debt to assets

0.78

Ent. to EBITDA

19.23

Ent. to rev.

0.81

PEG

1.70

Other Fundamentals

EBITDA

277.14M

MarketCap

291.53M

MarketCap(USD)

291.53M

Div. yield

2.16

Op. margin

5.99

Erngs. growth

-66.30

Rev. growth

-5.00

Ret. on equity

-21.85

Short ratio

8.38

Short perc.

21.03

Market Sentiment (SMA and Price signals)

Short-term: Bearish (SMA10D < SMA1M)

Intermediate-term: Bearish (SMA1M < SMA3M)

Long-term: Bearish (SMA6M < SMA12M)

SMAs: Stock Price Trends

Range10D

2.17

Range1M

6.98

Range3M

8.77

Volumes: Market Activity

Rel. volume

0.73

Price X volume

17.78M

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  • 1

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  • 1

Industry Comparison

ParameterCompanyIndustryIndicator
Enterprise to EBITDA19.23-Expensive
Ent. to Revenue0.81-Cheaper
PE Ratio-21.27-
Price to Book9.853.34Expensive
Dividend Yield2.16-Par
Std. Deviation (3M)69.50-Riskier
Debt to Equity36.454.33Expensive
Debt to Assets0.780.37Expensive
Market Cap291.53M-Emerging
  • 1

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