Stocks · Financial Services · Financial - Conglomerates

Roman DBDR Acquisition Corp. II DRDB

$10.73 +0.00% Close, Oct 2, 2026 · NASDAQ · Market cap $246.8M

Expensive vs sectorLow risk

Scroll or pinch to zoom, drag to move. Daily prices adjusted for splits. Markers: E = earnings (green beat, red miss), S = split, D = dividend.

Three things to know

  1. The stock is in an uptrend: above its 200-day average for 220 trading days, with the 50-day average above the 200-day.
  2. Diluted EPS over the last four quarters was $0.18, up 18.4% year over year.
  3. Over the past year the stock returned +4.0%, behind the S&P 500 by 11.1 percentage points.

PromtFinance scores

Each score is a percentile within the Financial Services sector (0–100). Under each score: how the stock ranks in its sector on every component. As of Oct 5, 2026.

Growth—Not enough data

How fast revenue, earnings and cash flow are growing.

  • EPS growth (TTM, YoY)Bottom 49%
Quality4Very weak

Returns on capital, margins, earnings quality and balance-sheet strength.

  • Return on invested capitalBottom 13%
  • Cash conversion (OCF / net income)Bottom 12%
  • Accruals (lower is better)Bottom 17%
Value7Very weak

How cheap the shares are relative to earnings, cash flow and their own history.

  • Earnings yieldBottom 20%
  • Free-cash-flow yieldBottom 17%
  • EBITDA / enterprise valueBottom 8%
Momentum62Neutral

Strength and persistence of the price trend, including versus the S&P 500.

  • 12-month return excluding last monthBottom 36%
  • 6-month returnBottom 39%
  • 1-year return vs S&P 500Bottom 46%
  • Distance from 52-week highTop 1%
  • Trend checklist (0–4)Top 11%
Revisions—Not enough data

Earnings surprises and analyst sentiment (estimate-revision history is being collected).

Stability91Exceptional

Low volatility, shallow drawdowns, low market sensitivity and modest leverage.

  • Volatility, 60 days (lower is better)Top 9%
  • Maximum drawdown, 3 yearsTop 9%
  • Beta vs S&P 500 (lower is better)Top 10%

Fundamental momentum

MeasureNow (TTM)Year / quarter beforeSector rank
EPS growth (TTM, YoY)18.4%—Bottom 49%
Return on invested capital-1.6%—Bottom 13%

Quality of earnings and balance sheet

Cash conversion (OCF / net income)Above 1× means profits are backed by cash.
-0.21×
Accruals (net income − OCF) / assetsLower is better; high accruals can signal weaker earnings quality.
2.7%

Shareholder returns

Dividend yield (dividends paid, TTM)
0.00%
Net buyback yield (TTM)
0.00%
Shareholder yield
0.00%
Share count change, 1 year
+0.0%

Shareholder yield = dividends + net buybacks over the last four quarters, divided by market cap.

Based on the four quarters through Jun 30, 2026 (filed Aug 6, 2026).

Earnings and expectations

Earnings momentum

Average 2-day reaction, last 8
+0.2%
Positive 20 days after report
1 of 2

How the stock reacted to recent reports

Report dateEPS surprise2 days5 days20 days60 days
Aug 6, 2026—+0.5%+0.5%+0.7%—
May 20, 2026—-0.1%-0.3%-0.2%+0.9%

Returns from the close before each report. Past reactions do not determine future ones.

Earnings history

Report dateEPSEstimateSurpriseRevenue
Aug 6, 2026$0.07———
May 20, 2026-$0.01———

Valuation in context

MultipleNow5-year median5-year percentileSector rank (cheapness)
P/E (trailing)61.0×——Bottom 20%
Free-cash-flow yield-0.46%——Bottom 17%
Earnings yield1.64%——Bottom 20%

P/E over the past five years

Range 41.0× – 70.0× since Jun 30, 2025. Each point: price on the filing date divided by trailing-twelve-month EPS known then.

What moved the stock over the past year

Price return, 1 year
+4.0%
Earnings per share growth (TTM)
+18.4%
Change in P/E multiple
-13.6%

Most of the move came from earnings growth.

Technical state

Trend checklist

  • ✓ Price above 20-day average
  • ✓ Price above 50-day average
  • ✓ Price above 200-day average
  • ✓ 50-day average above 200-day
  • ✓ MACD histogram positive

Trend quality

Days above the 50-day average
73
Days above the 200-day average
220
50-day average slope (20 days)
+0.5%
200-day average slope (20 days)
+0.2%
Distance from 50-day average
+0.7%
Distance from 200-day average
+1.8%
RSI (14)
72.8
Relative volume
0.16×

Risk and drawdowns

Volatility, 60 days (annualized)
2.1%
Volatility vs own 5-year history
39th percentile · Normal for this stock
Beta vs S&P 500 (2 years, weekly)
0.01
Correlation with S&P 500
0.11
Current drawdown from 1-year high
+0.0%
Maximum drawdown, 3 years
-1.3%

Financial statements

Market cap
$246.8M
P/E (TTM)
61.0
EPS, diluted (TTM)
$0.18
Revenue (TTM)
$0
52-week range
$10.30 – $10.73
FY 2024FY 2025
Revenue$0$0
Gross profit$0$0
Operating income-$207,000-$2.3M
Net income$223,461$7.7M
EPS (diluted)$0.01$0.34
Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026Q2 2026
Revenue$0$0$0$0$0$0$0$0
Net income-$90,741$314,202$2.2M$2.0M$2.1M$1.4M-$235,067$2.2M
EPS (diluted)-$0.00$0.01$0.07$0.07$0.07$0.04-$0.01$0.07
FY 2024FY 2025
Operating cash flow-$411,797-$1.3M
Capital expenditure-$3$0
Free cash flow-$411,800-$1.3M
Dividends paid$0$0
Net share buybacks$202.9M$30.1M

Cash outflows are shown as negative numbers.

Cash and short-term investments
$66,238
Total assets
$245.6M
Total liabilities
$3.3M
Total debt
$580,000
Net debt
$513,762
Shareholders’ equity
$242.4M

As of Jun 30, 2026 (filed Aug 6, 2026).

Short interest

Shares sold short
2,478
Days to cover
1.00
Change vs previous report
-26.9%

FINRA short interest, settlement date Sep 15, 2026.