2024 US Advertising
Financial Strength Rankings using Artificial Intelligence
Top rated | 6 of 24 |
Best rating | 285 % |
Worst rating | 16.8 % |
New companies | 3 |
Negative Economic Capital Ratio |
Financial Strength Rankings using Artificial Intelligence
Top rated | 6 of 24 |
Best rating | 285 % |
Worst rating | 16.8 % |
New companies | 3 |
Negative Economic Capital Ratio |
National Cinemedia Inc climbed 21 positions from 22 to 1 due to its excellent Net Income.Starco Brands Inc lost 16 positions from 3 to 19 due to its bad Comprehensive Net Income.Mastermind INC entered the 2024 ranking at rank 3, making it the best newcomer.
Revenues | 35.9 B |
Assets | 62.5 B |
Expenses | 34.0 B |
Stockholders Equity | 16.7 B |
Unprofitable Companies |
Rank | Company | Seal | Rating Value | Trend | ||
---|---|---|---|---|---|---|
![]() | 1 | National Cinemedia Inc | 284.52% | 21.0 | ||
![]() | 2 | Surgepays Inc | 191.29% | 16.0 | ||
![]() | 3 | Mastermind INC | 169.45% | 0.0 | ||
![]() | 4 | Angi Inc | 164.63% | 0.0 | ||
![]() | 5 | IZEA Worldwide Inc | 151.37% | 0.0 | ||
![]() | 6 | Stran Company Inc | 136.89% | 0.0 | ||
![]() | 7 | Lendway INC | 133.23% | -6.0 | ||
![]() | 8 | ADM Endeavors INC | 129.82% | -1.0 | ||
![]() | 9 | Kinetic Group INC | 121.70% | -7.0 | ||
![]() | 10 | Criteo S A | 118.23% | -1.0 | ||
![]() | 11 | Omnicom Group INC | 117.35% | -3.0 | ||
![]() | 12 | TRAVELZOO | 109.42% | 3.0 | ||
![]() | 13 | Interpublic Group OF Companies INC | 97.53% | 0.0 | ||
![]() | 14 | CMG Holdings Group INC | 94.00% | -4.0 | ||
![]() | 15 | Stagwell Inc | 92.64% | -1.0 | ||
![]() | 16 | Inuvo Inc | 85.99% | 0.0 | ||
![]() | 17 | Thryv Holdings Inc | 73.65% | -6.0 | ||
![]() | 18 | Groupon Inc | 73.35% | 1.0 | ||
![]() | 19 | Starco Brands Inc | 70.96% | -16.0 | ||
![]() | 20 | Fluent Inc | 70.80% | 0.0 | ||
![]() | 21 | Clear Channel Outdoor Holdings Inc | 69.69% | 0.0 | ||
![]() | 22 | Mobiquity Technologies Inc | 36.56% | 5.0 | ||
![]() | 23 | Ezagoo Ltd | 30.26% | 1.0 | ||
![]() | 24 | PSQ Holdings Inc | 16.77% | 0.0 | ||
Rank | Company | Seal | Rating Value | Trend |
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).
The Regression compares the forecasted company valuation with the observed stock market values. A positive correlation suggests that the model effectively explains market prices.
This year's rating information is fee-based. Please request rates at
james.woods@realrate.ai