2015 US Advertising

Financial Strength Rankings using Artificial Intelligence

Top rated8 of 33
Best rating169 %
Worst rating0.00000000000000000000000000118 %
New companies14
Negative Economic Capital Ratio

IZEA Worldwide Inc climbed 12 positions from 19 to 7 due to its excellent Comprehensive Net Income.Millennial Media Inc lost 11 positions from 4 to 15 due to its bad Cost of Goods and Services Sold.Quotient Technology Inc entered the 2015 ranking at rank 5, making it the best newcomer.

Revenues32.9 B
Assets48.7 B
Expenses32.8 B
Stockholders Equity21.1 B
Unprofitable Companies
RankCompanySealRating ValueTrend
1Clear Channel Outdoor Holdings Inc168.90%1.0
2Retailmenot Inc168.80%-1.0
3Meet Group Inc167.88%2.0
4Lendway INC159.37%-1.0
5Quotient Technology Inc154.92%0.0
6TRAVELZOO147.38%6.0
7IZEA Worldwide Inc142.47%12.0
8Telaria Inc140.64%0.0
9YuMe Inc137.43%-3.0
10Thryv Holdings Inc124.24%0.0
11Omnicom Group INC117.19%-2.0
12Fluent Inc107.59%0.0
13China YIDA Holding CO103.58%-3.0
14Groupon Inc101.09%0.0
15Millennial Media Inc95.72%-11.0
16Interpublic Group OF Companies INC91.63%-2.0
17SRAX Inc74.21%-4.0
18Reachlocal Inc73.89%-7.0
19Stagwell Inc73.74%0.0
20Angie s List Inc73.23%-2.0
21Nownews Digital Media Technology Co Ltd52.70%0.0
22ADM Endeavors INC49.90%0.0
23Salon Media Group INC45.86%-2.0
24Total Sports Media Inc42.76%-1.0
25Adaptive Medias Inc37.07%0.0
26Wowio Inc9.64%0.0
27Mastermind INC5.86%0.0
28Teardroppers Inc5.54%0.0
29CMG Holdings Group INC4.91%0.0
30Mobiquity Technologies Inc2.68%-6.0
31Starco Brands Inc0.99%0.0
32OSL Holdings Inc0.01%0.0
33US China Biomedical Technology Inc0.00%0.0
RankCompanySealRating ValueTrend

Feature Distribution Plot

The Feature Distribution shows the main industry variables and the distribution of their impact on financial strength. The more important a variable, the broader the distribution. As the effects are calculated relative to the industry average, half of the companies have a positive effect (green) and half have a negative effect (red). 


Regression Plot

The Regression compares the forecasted company valuation with the observed stock market values. A positive correlation suggests that the model effectively explains market prices.


Feature Importance


United States Ratings

Austrian Insurance Ratings

German Insurance Ratings