LGIHLGI Homes Inc

NASDAQ · Consumer Products · Consumer Products

$45.25-5.20%Market cap882.07M
Latest Close
$45.25
30-Day Move
-5.2%
Market Cap
$882M
Shares Outstanding
23,130,000
P/E Ratio
12.16
P/B Ratio
0.47
NASDAQ:LGIHConsumer Products / Consumer ProductsDelayed public snapshot

LGI Homes Inc

A read-only Alphactor snapshot forLGI Homes Inc. It uses the same research structure as the app, but with delayed data and shallow depth so search visitors can evaluate the stock before signing up.

Snapshot as of2026-04-23

Topline snapshot

Latest Close

$45.25

30-Day Move

-5.2%

Market Cap

$882M

Shares Outstanding

23,130,000

P/E Ratio

12.16

P/B Ratio

0.47

Not investment advice. Signals and scores shown here are model outputs derived from historical data, not recommendations. Past performance does not guarantee future results. Do your own research before trading. Full disclaimer
Chart snapshot

$45.25

-5.2%last 90 delayed daily bars

Market cap$882M

90D High

$63.66

90D Low

$33.55

Avg Volume

452,457

What stands out

Gross margin is running at 20.7%, which gives a quick read on operating quality before you open the full model.

Net margin is 4.3%, useful for comparing LGIH against peers in Consumer Products.

LGIH is down 5.2% over the last 30 trading days shown on this page.

Latest operating income is $19M, which helps anchor the headline ratios with an actual earnings figure.

Research snapshot

Composite Fair Value

$299.13

Rule of 40

-30.8%

Fundamentals snapshot

Latest Close

$45.25

30-Day Move

-5.2%

Market Cap

$882M

Shares Outstanding

23,130,000

P/E Ratio

12.16

P/B Ratio

0.47

ROE

3.5%

ROA

1.8%

Gross Margin

20.7%

Operating Margin

4.7%

Net Margin

4.3%

Debt / Equity

0.79

Current Ratio

25.19

Latest Revenue

$474M

Financial statement snapshot

Revenue

$474M

Gross Profit

$84M

Operating Income

$19M

Net Income

$17M

Gross Margin

2073.0%

Net Margin

425.0%

Current Ratio

25.19

Debt / Equity

0.79

Valuation snapshot

Fair Value

$299.13

Upside / Downside

+561.1%

Signal

Undervalued

Implied Growth

--

EV/Rev

$299.13

Growth Assumption

-9.5%

Discount Rate

9.6%

Terminal Growth

2.0%

Base FCF

--

Valuation spread

Current Price
$45.25
Composite Fair Value
$299.13
EV/Rev
$299.13

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Negative FCF — company is cash-flow negative. Reverse DCF requires positive cash flows.

Quality snapshot

Altman Z

2.63

Grey

Piotroski

3

Weak (0-3)

Cash Conversion

-1.93x

Rule of 40

-30.8%

Concerning

Annual financial history

Annual performance mix

PeriodRevenueOperating IncomeNet IncomeFree Cash Flow
2022-12-31$2.3B$390M$327M$-372M
2023-12-31$2.4B$233M$199M$-58M
2024-12-31$2.2B$212M$196M$-146M
2025-12-31$1.7B$80M$73M$-141M

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The app opens the full statement deep dive

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Institutional holders snapshot

Qube Research & Technologies

Filed 2026-02-17

--

--

Two Sigma Advisers

Filed 2025-08-14

--

--

BlackRock

Filed 2024-05-10

$393M

--

Vanguard Group

Filed 2025-05-09

$151M

+0.0%

Geode Capital Management

Filed 2025-11-12

$27M

+2.3%

Charles Schwab

Filed 2025-09-15

$26M

--

Citadel Advisors

Filed 2025-08-14

$25M

--

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For informational and educational purposes only. Not financial advice. Learn more

For informational and educational purposes only. Not financial advice. Learn more