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‹ Back to the callHUBGHub Group, Inc.$30.34+1.03%
Deep dive · NasdaqGS: HUBG

Hub Group, Inc. stock analysis

Everything behind the call on Hub Group, Inc. 6 sections, ordered the way risk stacks up: survival first, quality and price in the middle, context last. The Beacon gives you the read. This is where you check the work.

The five reads
Global tapeOverseas lean+0.52%
FrankfurtHBG+0.52%⏱
Where else this company trades. A closed venue shows its last close, marked ⏱ — not a live price. Overseas lean is the average move across the 1 overseas venue listed above, excluding the home listing — a read on overnight sentiment rather than a signal.
The bottom linestart hereAs of 2026-09-25
Wall Street rating
Hold
+32% to the average target
39% buy · 54% hold · 8% sell
median target $40
Chart pattern
Below both averages
The 50-day sits below the 200-day
50-day $40.51 · -25.1%
200-day $41.82 · -27.4%
Valuation
13.9× forward
Against consensus earnings
FCF yield 7.74%
Dividend
1.65%
Forward annual yield at today's price
Risk flags
2 on watch
5 checks run, 3 clear
beta 0.89 · vol 35% ann.
worst drawdown -42%
New to this? Every metric carries a plain-English read beside it, and an ⓘ next to a label opens the definition. Anything unfamiliar is also defined at the foot of the page under Glossary.
In one paragraphwhat the company actually does125 chars

Hub Group, Inc., a supply chain solutions provider, offers transportation and logistics management services in North America.

NasdaqGS · USDIntegrated Freight & Logistics
$30.34+0.31 · +1.03%CLOSED · vol 1.41M
52-week range↑ 1% off low · ↓ 43.0% off high
$29.92now $30.34$53.26
Quote Sep 25, 2026 · 4:00 PM ET
Tape 2026-09-25
Factors 2026-09-25
01Ratios · Jul 7, 2026NO SOLVENCY RISK

Survival & solvency

Altman-Z of 4.0 against a 3.0 safe threshold, and 3 of 5 forensic checks clear.

↳ Plain EnglishBefore anything else: can this company pay its bills? These blocks check the balance sheet, whether your slice of ownership is being diluted, and whether the accounting looks honest.
Bankruptcy risk (Altman-Z)
4.01SAFE ZONE
Distress<1.8
Grey1.8–3.0
Safe>3.0
Profitability, leverage and liquidity combined into one number. Above 3.0 is the safe band.
Balance sheetJul 7, 2026
Distance to default (Merton)THIN
3.5σ
How many standard deviations of asset value sit between the company and its debt. Above 4σ is comfortable.
Structural snapshot · Sep 26, 2026
1-year default probabilityEDF-CALIBRATED
0.53%
Calibrated against how often companies at this distance actually defaulted, rather than assuming a normal distribution.
Method · empirical EDF bucket · pooled cohort · n=47,237 · 248 events · OOS AUC 0.896
Piotroski F-scoreWATCH
F 6/9
Piotroski F-score 6 of 9. Nine pass/fail tests covering profitability, leverage and operating efficiency; seven or more is strong.
Solvency and liquidity ratios
Current ratioshort-term assets against short-term bills1.33×healthy >2
Debt / equityborrowings against shareholder capital0.31
Leverage · long-term debt / equitythe borrowings that outlive a bad quarter0.09
Net debtborrowings in excess of cash on hand$410.26M
Your ownership stake
Share-count growth vs peersLOW DILUTION
5th pctile
Where this name's share-count growth ranks among peers. Lower is less dilutive.
Buyback yieldGROSS
2.49%
Repurchases as a share of market value, before new issuance is netted off.
Stock-based comp / revenueIN LINE
0.5%
Stock comp is the dilution pressure a buyback has to outrun. We read up to 5% of revenue as modest and above 12% as heavy — our own reading band, not a measured peer statistic.
SBC / operating cash flowFLAT
5%
How much of the cash the business generates is being handed to employees as stock. The higher it runs, the more of a buyback is just offsetting it.
Diluted vs basic share gapTHIN OVERHANG
0.79%
Options and awards already granted, expressed as the gap between the diluted and basic counts.
Accounting forensicsSEC filings
Red-flag x-rayGRADE B
80 / 100
0 critical · 2 watch · 3 clear of 5 scored tests
3 of 5 checks clear
Red-flag x-ray · every check, passes included
CheckStatusValueWhat it looks for
Bankruptcy distressCLEARZ 4.01Altman-Z in the Safe · fundamentals
Earnings manipulationCLEARM -2.55M-score in range · fundamentals
LeverageCLEARLTD/E 0.10long-term debt 0.10× equity · fundamentals
Profitability qualityWATCHF 6/9Piotroski F-score 6 of 9 · fundamentals
Filing forensicsWATCH2 flags2 filing red flags on the latest 10-K · forensic
5 checks, 3 clear and 2 watch. The passes are shown because a score built from five checks means something different from one built from three.
02Refreshed · Sep 27, 2026POOR · 30/100

Business quality

3% net margin, 6% return on equity, -6% revenue growth, and capital earning 5% against a 8% cost.

↳ Plain EnglishMargins tell you how much of each sales dollar the company keeps. Return on capital tells you whether reinvesting that money creates value. Both are read against what the filings support, not against a target.
Quality score
30 / 100POOR
Profitability · net margin 3%
Growth · revenue -6% YoY
Balance strength · debt/equity 0.31
Profitability, growth and balance strength scored separately, then blended.
ProfitabilityRefreshed · Sep 27, 2026
Net marginOF EVERY SALES DOLLAR
2.6%
The share of revenue that survives every cost and becomes profit.
Gross marginPRICING POWER
11.1%
What is left of a sales dollar before overhead — the clearest read on pricing power.
Operating marginAFTER RUNNING COSTS
3.5%
What survives the cost of running the whole business.
Return on equityPER $1 OF EQUITY
6.3%
Annual return on each dollar of shareholder equity.
ROIC − WACC spreadDESTROYS VALUE
-3.1pp
Earns 5% on invested capital that costs about 8%. A positive spread means every retained dollar compounds rather than leaks.
Incremental ROIC (3y)ON NEW CAPITAL
-9.7%
The return on capital put to work over the last three years — a sharper read than the trailing average, because it prices the newest decisions.
Growth & relative strength
Trailing return by period
1 month
-24.1%
3 months
-31.0%
6 months
-14.2%
Year to date
-29.0%
1 year
-12.4%
Revenue growth (YoY)SHRINKING
-6.1%
Revenue against the same period a year ago.
EPS growth (YoY)IN LINE
-35.1%
Earnings per share against a year ago. Running ahead of revenue means margins are widening.
12-1 momentumEX LAST MONTH
+16.6%
Return over the last year excluding the most recent month — the standard momentum factor, which drops the short-term reversal.
Relative-strength rankBOTTOM 14%
14 / 100
Where this name's 3-month return against the S&P 500 ranks across the market — a quarter's standing, not the year's.
Around earningsOct 30, 2025
P(beat next quarter)COHORT BASE RATE
64%
survivor-tilted universe (currently-listed names; large-cap-skewed coverage)
cohort n=45,258 · this name's own n=8 · since 2000
Beat rate · this nameBEAT 5–6 OF THE LAST 8
5 of 8
Its own record against consensus. 8 prints is a small sample, which is why the cohort rate above carries the probability.
n=8 measured prints
Fell after a beatP(FELL | BEAT)
39%
A beat is not a plan: this share of them still closed lower on the day.
n=18 beats — a conditional rate over its own denominator, not a share of all prints
Typical earnings moveMEDIAN ABSOLUTE
±3.7%
Unsigned magnitudes from its own prints. Direction is not part of this read.
n=24 prints · p90 ±7.5% · worst 11.7% (2020-04-30)
Reaction: beat vs missASYMMETRIC
+1.0% / -7.9%
The average day-one move after a beat and after a miss. A miss dropping the stock further than a beat lifts it is the asymmetry worth sizing for.
n=18 beats · n=2 misses — each average over its own denominator
Sells the newsON THE PRINT
No
No habit of selling off on a good report in the measured window.
Dividends & income
Dividend yieldforward annual
1.65%
The cash return the payment alone provides at today's price.
Cash coveragefree cash flow
>2x
Whether the payment is funded out of the cash the business generates.
Inventory ledger
Data unavailableNo inventory detail is tagged in this company's filings. The ledger needs the XBRL inventory components, which a business without physical goods does not report.
Segments & geography
Data unavailableRevenue by segment and region is not on file for this name, so product and geographic concentration are not shown.
Pattern reliability · platform-wide cohortSnapshot · Sep 27, 2026
Downtrend · leans bearish
HorizonHigherMedianObservations
10d47%0.0%1,264,444
21d48%0.0%596,577
63d47%-0.6%187,417
slope -0.42 over 40 bars
Bullish harami · leans bullish
HorizonHigherMedianObservations
10d49%0.0%130,421
21d48%-0.2%61,471
63d49%-0.2%19,639
small body inside prior bearish
Tweezer bottom · leans bullish
HorizonHigherMedianObservations
10d44%0.0%344,241
21d46%0.0%162,135
63d47%0.0%51,160
matching lows
Falling wedge · leans bullish
HorizonHigherMedianObservations
10d50%0.0%430,231
21d50%0.0%203,310
63d50%+0.1%64,486
falling & converging — bullish
Rsi oversold · leans bullish
HorizonHigherMedianObservations
10d46%0.0%225,518
21d48%0.0%106,358
63d50%0.0%33,595
RSI 24 ≤ 30
0313.9× FORWARD

Price & timing

Price $30.34, 13.9× forward earnings, RSI 25, and dealers long gamma.

↳ Plain EnglishA multiple is what the market charges for a dollar of this company's earnings, cash or revenue; the trend and the options tape say what the price is doing around it. Together they are the timing picture, not the quality one.
Trend
Below every average0 OF 3 AVERAGES
50-day $40.51 · 200-day $41.82. Price above both is the structural definition of an uptrend.
The setup right now
Price · 504 sessions2024-09-23 → 2026-09-25
$29$35$42$48$55CALL WALL $50PUT WALL $40$30.34
price50-day200-daylevel
How to read this
Up 1.03% on the session.

Follow the solid line: each point is a session close. Compare it to the 50-day average — while price stays above it the short-term trend is up, and a drop below is the first structural warning.

The dashed levels are the strikes the options chain is most committed to. They are the same numbers the gamma block states; nothing here is drawn that no section derives.

Market cap$1.86B
Day range$30.01 – $30.73
Above 52-week low+1%
Realized volatility35% ann.
Worst drawdown-42.2%
Momentum (RSI-14)OVERSOLD
25
030 oversold70 hot100
Where momentum sits on a 0–100 scale. Above 70 is overbought, below 30 oversold; the middle says the move has room either way.
Typical day (ATR-14)±5.2%
$1.57
The average true range — how far this stock moves on an ordinary day. It sets the scale a stop has to clear.
MACDBELOW SIGNAL
-0.18
The short-term trend against its own signal line. The sign is the read; the size is not a target.
Bollinger position11% OF RANGE
Lower band
Where price sits inside its own volatility band. The edges are where a move is stretched, not where it reverses.
20-day VWAPPRICE BELOW
$34.62
The volume-weighted average of the last month. Price above it means recent buyers are, on average, in profit.
Chandelier exitBROKEN
$35.97
A volatility-based trailing stop, set a few average ranges below the recent high.
2026-09-29 · in 2 daysJob Openings (JOLTS)A scheduled macro release. It moves this stock independently of anything the company does.
Setup & oddsNightly
Pullback riskoverstretch read
In line1.08× segment rate · n=11,955
Historically, mid names in this tape state saw a ≥10% pullback within 63 trading days in 85% of cases (n=11,955).
Overstretchvs the 20-day mean
-1.6σ
How many standard deviations price sits from its 20-day mean. Beyond 2σ is genuinely stretched; inside it is ordinary.
Bottom zoneif it breaks down
$29 – $302 supports
Where prior demand appeared: S1 at $29.99, Low 52w at $29.92.
Slide scorefalling-knife check
29 / 100Neutral
A composite of consecutive down days, gap risk and volume expansion. Low means any decline is orderly.
Signal
The odds lean, the stretch qualifies it.

Not enough fundamental coverage to score this name's red-flag cohort — no 12-month odds shown.

Valuation
Earnings yield vs cashABOVE CASH
0.54pp
The earnings yield clears the risk-free rate, so the current return alone competes with cash.
Net cash per shareNET DEBT
$-5.63
Cash less every borrowing, per share. It is the part of the price that is not a claim on future profits.
Multiples
Forward P/Eearnings expected over the next 12 months13.9×
Trailing P/Eearnings already reported17.4×
Price / salesprice against revenue, before any of it becomes profit0.5×
Price / bookprice against the accounting value of the assets1.1×
EV / EBITDAthe multiple an acquirer would pay6.7×
EV / free cash flowenterprise value against the cash the business throws off15.8×
FCF yieldfree cash flow per dollar of market value7.74%
0 of the 7 priced multiples above sit in the richer half of its band. Each priced multiple is read against this stock's own history where a five-year range is on file, so the question is whether today is dear for this name rather than for the market. The multiples are computed separately from the quote above and are not re-priced as it moves, so they can lag it.
Price horizon & timing
Data unavailableThis security is delisted, so there is no live tape to compose entry, target and stop against.
Gamma mapChain · Sep 27, 2026
Signal
Long gamma — moves get absorbed.

Dealers hedge against the move, which damps volatility around the current strikes. It makes the tape quieter without saying anything about which way it goes.

Dealer-hedging mechanics. Useful if you trade options; the takeaway above is what it means for the share price.
Options tapeFront expiry 2026-10-16 · Chain · Sep 27, 2026
Max pain+31.8%
$40.00
The strike where most open options expire worthless. Price often drifts toward it into expiry.
Front expiry 2026-10-16
Put / call ratio (OI)CALL-HEAVY
0.21
83% calls
17% puts
Open interest in puts against calls. Heavy call interest often caps how far price can run before expiry.
Put / call ratio (volume)TODAY'S FLOW
107.40
Today's traded flow rather than the standing position. It moves faster and means less.
Expected move (1-week)≈ $2.86
±9.4%
What the chain prices for the week. A range the market is charging for, not a forecast.
of the chain spot $30.34
Largest open interest · front expiry
StrikeTypeOpen interest
$50.00CALL4,512
$40.00PUT654
$40.00CALL640
$35.00PUT288
$35.00CALL206
$20.00PUT126
Large call interest above the price acts as a magnet and a ceiling; large put interest below is a floor of hedges. The biggest strike is the level the market is most committed to defending into the next expiry.
Open interest by strikeexpires 2026-10-16CallsPutsMax pain $40.00
0
$65.00
00
$60.00
00
$55.00
15k
$50.00
10
$45.00
0640
$40.00
654206
$35.00
2884
$30.00
291
$25.00
131
$20.00
126
The shaded row is the strike nearest the price. Heavy call interest above acts as a ceiling; heavy put interest below is a floor of hedges.
↑ 52-week high$53.26+75.5%The highest print of the past year.Old highs draw profit-taking on the first attempt.
↑ Call wall$50.00+64.8%Heaviest call open interest on the front expiry.Acts as a ceiling into expiry; a close above usually needs a catalyst.
◇ Max pain$40.00+31.8%Where most open options expire worthless.Price often drifts toward it into the close of the expiry week.
↓ 50-day average$40.51+33.5%The line the short-term trend is measured against.A close beneath it is the first structural warning.
↓ Put wall$40.00+31.8%Heaviest put open interest — a floor of hedges.Dealer buying tends to build as price approaches.
0413F quarterly · Form 4 dailyNET SIGNAL 0

Ownership & flow

Institutions hold 106%, short interest is 6.13% of float, and 11 analysts average $40.

↳ Plain EnglishWho is buying and selling, and what they had to disclose. Institutions file 13F 45 days after quarter end, executives file Form 4 within two days, and Congress discloses under the STOCK Act with a 30–45 day legal lag. Every one of those is a look backwards.
Net signal
0BALANCED · 30d
Analyst moves -1
Earnings +1
1 bull / 1 bear factors. The points sum to the net beside the label; nothing here is weighted after the fact.
The QTick signalNightly
Analyst moves90D · TIMING
-1
1 price-target cut in 90d
Earnings4 QUARTERS · TIMING
+1
3 of the prior 3 quarters beat
Signal
1 bull / 1 bear factors

Independent factors scored and netted to 0 over 30d, a balanced reading. 2 of 9 factors carried a direction; the others scored zero and do not vote. The signal describes where the data leans, not what to do about it.

Cross-category read
Data unavailableFewer independent evidence families are ready than the engine's minimum, so there is nothing to check for agreement. A cross-category read over two categories is not a read.
Wall Street11 covering firms
Consensus rating11 ANALYSTS
Hold
39% buy · 54% hold · 8% sell, as a share of the 11 covering firms.
Median price target+32%
$40
$29now $30$50
A $29–$50 spread across the panel. A twelve-month view, and a wide spread means real disagreement rather than a consensus.
Forward EPS estimateCONSENSUS
$2.12
What the panel expects the company to earn per share.
next year · 7 analysts
Recent analyst moves · last 90 days
FirmTargetDirectionRank
Raymond James$40↓60/100
Upgrades, downgrades and target changes from covering firms. A cluster of moves in one direction matters more than any single target; the rank is the firm's own credibility score, or a dash below the scoring floor.
Who owns it13F quarterly · Form 4 daily
Institutional ownershipINSTITUTIONALLY HELD
106.3%
The share held by 13F filers. It describes last quarter's positioning, not today's — filings land up to 45 days after quarter end.
Insider ownershipOFFICERS & DIRECTORS
2.9%
The share held by the people running the company.
Short interest (float)LIGHT
6.13%
Falling — shares short changed -0.6% over 30 days. A crowded short is fuel in both directions.
Free float97% OF SHARES
58.79M
Shares actually available to trade, excluding insider and restricted holdings.
Dollar volume (ADV)76th PCTILE
$33.99M/day
Average dollars traded per day, and where that ranks cross-sectionally. Thin liquidity is a cost you pay on the way out, not just on the way in.
Borrow feeData unavailableWe do not license securities-lending data, so the annualized cost of borrowing shares to short is not something we can show. Short interest and days-to-cover above are the closest read we can source.
The story · news & sentimentRolling window
Why it moved todayNEWS
+1.03%
HUBG rose +1.03% since the last close, amid recent coverage: “(HUBG) Movement as an Input in Quant Signal Sets - Stock Traders Daily” (Stock Traders Daily).
Matched · Sep 25, 2026 · source on file
News tone · 7-day—
50 / 100
Headline polarity over the window, scored from news articles. Above 60 leans positive, below 40 negative. Colour, not a signal.
Newswire · 45 stories
WhenHeadlineSourceTone
Fri(HUBG) Movement as an Input in Quant Signal Sets - Stock Traders DailyStock Traders Dailynot scored
FriHub Group Inc (HUBG) Shares Fall 4.4% -- What GF Score of 80 Tel - GuruFocusGuruFocusnot scored
ThuWhy Are Traders Reassessing Hub Group (NASDAQ:HUBG)? - kalkinemedia.comkalkinemedia.comnot scored
ThuShould Delisting Notice Require Action From Hub Group (HUBG) Investors? - simplywall.stsimplywall.stnot scored
ThuHUBG Apr 2027 30.000 put (HUBG270416P00030000) stock price, news, quote and history - Yahoo Finance SingaporeYahoo Finance Singaporenot scored
MonHub Group, Inc. (HUBG) Stock Price, News, Quote & History - Yahoo! Finance CanadaYahoo! Finance Canadanot scored
MonHub Group Inc's Dividend AnalysisGuruFocus.comnot scored
MonJim Cramer on Hub Group (HUBG): “Got to Wait Till Oil Calms Down” - Yahoo FinanceYahoo Financenot scored
Coverage published around the move, newest first. Nothing here measures causation — only the why-it-moved card above is matched to the tape by timestamp.
CongressSTOCK Act · 30–45d lag
Signal
Net selling.

0 of 2 disclosures are buys and 2 are sales. Lawmakers disclose on a 30–45 day legal lag, so this describes what was done weeks ago, not what is being done now.

Disclosed lawmaker trades, with their legal reporting lag.
0511 graded callsORDINARY VOLATILITY

Risk & track record

Beta 0.89, 35% annual volatility, a -42% worst drawdown, and 4 of 8 risk surfaces clear.

↳ Plain EnglishWhat owning it does to a portfolio, what the model votes against, and how often our own calls have been right. Every call is graded when it resolves, and the ones still open stay visible.
A very bad day (EVT)
−11.7%1-IN-200 DAY
Fitted to the tail of the return distribution rather than assuming a bell curve. Size the position so a day like this is survivable.
What it does to a portfolio5-year window
Max drawdownWORST FALL
-42.2%
The deepest peak-to-trough fall in the measured window. Only hold a position you can watch do this.
Beta (vs the market)LOW FIT
0.89
The market explains about 6.0% of its daily moves, so this beta says little about how it tracks the index — most of its movement is its own.
3-year beta 1.02
Annualized volatilityORDINARY
35%
How far it swings over a year, from its own realized returns.
Tactical phaseNIGHTLY READ
Neutral
Selling pressure69
Buying pressure0
Overheat0
State: neutral — No dominant short-horizon pressure in the tape.
0-100 · high = active · lit = the engine's own phase, cohort-banded
What votes againstNightly
LowAnalyst moves1 price-target cut in 90d90d · -1
Signal
1 of 9 factors vote against.

Ranked by the size of each factor's own point contribution to the net signal — these are the model's stated reasons, not a written bear case. Each one is scored from the source named beside it.

Failure modes · by company type
Data unavailableFailure modes are routed per company type, and only the bank-run and crypto-treasury rulebooks are validated so far. This name routes as growth, so there is no cohort-specific checklist to run. A generic list would read as analysis without being any.
The risk case · why not to buy8 surfaces · nightly
Suggested position capmax defensible size
2.2%tail cap binds
max defensible size 2.2% - tail binds
Avoid score6-month distress
10.7%1.3× its cohort · heavily-traded large-caps
Observational 6-month large-drawdown risk ranking — not a forecast, not alpha. Historical distress rate for this heavily-traded large-caps segment: 8.0%. This name reads 1.3× that base rate.
LowDistress screenThe distress model did not score this name in the latest run, so this surface is unmeasured rather than clear.Not scored
MedPosition size, not conviction, is the binding constrainthalf-Kelly 27.2% · tail cap 2.2% · category cap 54.6%. The tail cap binds, so 2.2% is the number (n=92,785). We show which one binds rather than the friendliest.Sizing
LowLottery-ticket behaviourIts best 21-day return sits at 1.7% against a 9.6% cohort 90th-percentile threshold — below the line where forward returns have historically turned negative.Behaviour
LowCash runwayNon-burner: catastrophe rate 6.1% (n=297414).Solvency
LowPost-earnings driftDrift odds at full strength (+3.21% / 63-day spread reference from measured post-earnings drift).Timing
LowDividend riskNot scored for this name.Not scored
LowRestatement historyFiling history is not deep enough to check for restatements.Not scored
LowCrowded shortNot in a warn state: the crowded-short model only publishes when short interest and thin liquidity coincide, and neither condition is met here.Not scored
Signal
4 of 8 surfaces clear.

8 surfaces checked, 4 clear. The binding constraint is position size — the tail cap is the one that binds. Each row states which surface it is and what it measured; a surface that could not be scored says so rather than counting as clear.

Who should skip it
Skip it if any of these is you
You can't sit through -42%
That is this name's deepest measured fall, on 35% annualized volatility. A drawdown of that size is normal here, not exceptional.
You'd size it like a core holding
The binding cap is 2.2% of a portfolio. Above that the tail stops being survivable.
Our track record11 resolved
Track recordBUILDING IN THE OPEN
24 logged
24 calls logged on this name, 11 resolved so far. Calls are logged the moment they are made, so the open ones are public before anyone knows how they turn out, and a hit-rate is not published until enough of them resolve.
11 resolved · 13 open
Calls on HUBGTHIS NAME
24
This name's own call count. Too few have resolved to publish a rate over them, so none is shown rather than a rate over 11.
0610-K disclosed linksINTEGRATED FREIGHT & LOGISTICS

The wider context

5 mapped peers, 3 connections.

↳ Plain EnglishCompanies do not trade alone. This is the peer set, the supply chain that has to deliver, and the macro variables that move the stock regardless of company news.
Rate sensitivity
+0.8% per +1ppSECTOR
This is the SECTOR prior, not a measurement of this name — the regression did not clear its own bar. The verdict beside it (tailwind) comes from the prior too, so the two agree by construction rather than by evidence.
Versus peersLatest session
Peer set · 5 names
SymbolRelationshipPriceSession
UPSPeer$93.96+2.07%
FDXPeer$285.85+2.26%
CHRWPeer$147.10+0.62%
EXPDPeer$187.46+2.07%
JBHTPeer$225.46-1.61%
The mapped peer set and how each traded in the latest session. A peer moving with this name says the move is the sector's; one moving against it says the move is this company's.
Time machineHistory from 2023-06-01
Signal
Every backward window is negative.

Look-back returns describe what happened, not what is likely. They are here to set the scale a future move would be measured on.

Historical retrospective. Context, not a forecast.
Macro driversRolling window
Next macro catalystIN 2 DAYS
Job Openings (JOLTS)
2026-09-29. A scheduled release that moves this stock independently of anything the company does.
Events · what moves this stockSep 19, 2026
Industrial productionUsually helps when factory output comes in stronger than expected
Industrial companies sell into exactly this activity.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +0.5% · A week later +0.7% · Two weeks later +3.4% · Rose on 22 of 39 report days
Across the last 39 Industrial production reports since Jun 15, 2023, HUBG moved +0.5% on average on the day and was 3.4% higher two weeks later. The S&P 500 moved +0.1% on those days.
GDP (advance estimate)Usually helps when the economy grows faster than expected
Industrial companies sell into exactly this activity.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +7.5% · A week later +6.2% · Two weeks later +4.9% · Rose on 6 of 13 report days
Across the last 13 GDP (advance estimate) reports since Jul 28, 2023, HUBG moved +7.5% on average on the day and was 4.9% higher two weeks later. The S&P 500 moved +0.2% on those days.
Initial jobless claimsUsually hurts when more people file for benefits than expected
Rising layoffs signal factories and builders are slowing.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +0.1% · A week later +0.8% · Two weeks later +1.3% · Rose on 88 of 170 report days
Across the last 170 Initial jobless claims reports since Jun 8, 2023, HUBG moved +0.1% on average on the day and was 1.3% higher two weeks later. The S&P 500 moved 0.0% on those days.
Core PCE (the Fed's gauge) is due in 3 days.
Core PCE (the Fed's gauge)Usually hurts when inflation runs hotter than expected
Factories pay more for materials before they can raise their own prices, and higher rates slow orders.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +2.5% · A week later +2.0% · Two weeks later +1.5% · Rose on 18 of 39 report days
Across the last 39 Core PCE (the Fed's gauge) reports since Jun 28, 2023, HUBG moved +2.5% on average on the day and was 1.5% higher two weeks later. The S&P 500 moved +0.2% on those days.
FOMC decisionUsually hurts when the Fed sounds more hawkish than expected
Costlier financing slows factory and equipment orders.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +0.3% · A week later -0.6% · Two weeks later -0.1% · Rose on 22 of 39 report days
Across the last 39 FOMC decision reports since Jul 1, 2023, HUBG moved +0.3% on average on the day and was 0.1% lower two weeks later. The S&P 500 moved -0.1% on those days.
Housing startsUsually helps when more homes are started than expected
Building products and equipment makers.
Typical for the Industrials sector
report daytrading days before and after the report
On the day -0.2% · A week later +2.8% · Two weeks later +2.2% · Rose on 21 of 39 report days
Across the last 39 Housing starts reports since Jun 20, 2023, HUBG moved -0.2% on average on the day and was 2.2% higher two weeks later. The S&P 500 moved 0.0% on those days.
PCE inflation is due in 3 days.
PCE inflationUsually hurts when inflation runs hotter than expected
Factories pay more for materials before they can raise their own prices, and higher rates slow orders.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +2.5% · A week later +2.0% · Two weeks later +1.5% · Rose on 18 of 39 report days
Across the last 39 PCE inflation reports since Jun 28, 2023, HUBG moved +2.5% on average on the day and was 1.5% higher two weeks later. The S&P 500 moved +0.2% on those days.
Producer prices (PPI)Usually hurts when producer prices run hotter than expected
Factories pay more for materials before they can raise their own prices, and higher rates slow orders.
Typical for the Industrials sector
report daytrading days before and after the report
On the day +0.3% · A week later +1.4% · Two weeks later +4.3% · Rose on 24 of 39 report days
Across the last 39 Producer prices (PPI) reports since Jun 12, 2023, HUBG moved +0.3% on average on the day and was 4.3% higher two weeks later. The S&P 500 moved +0.3% on those days.
Customer momentum
Data unavailableCustomer momentum needs listed customers that disclose a revenue dependence on this company, and none is on file. The connections below are a different map: competitors and partners, most of them curated rather than filed.
Connections3 links · none confirmed
Direct connections · 3 edges
CompanyRelationSessionProvenance
AMZN · Suppliersupplier+0.12%Rumored · manual
WMT · Customercustomer+0.36%Rumored · manual
HD · Competitorcompetitor+0.35%Rumored · manual
0 of 3 edges are named in a filing; the rest come from reporting we have not matched to one yet, and are labelled as such.
Suppliers, customers & competitors
What it depends on
AMZNSuppliersupplier
Who depends on it
WMTCustomercustomer
Named competitors
HDCompetitorcompetitor
Glossary · every term on this page
Survival
Altman Z

Bankruptcy-risk score. Above 3.0 is the safe band.

Piotroski F

Nine pass/fail health tests; 7 or more is strong.

Beneish M

Accrual and growth pattern screen. Clear below −2.22, watch to −1.78, elevated above; a year of very fast revenue growth lifts it by construction.

Merton DTD

Standard deviations of asset value between the company and its debt.

EDF

Default frequency calibrated on what actually happened to similar names.

Price & tape
RSI-14

Momentum gauge 0–100. Above 70 is overbought, below 30 oversold.

ATR

Average true range — the size of a typical day.

VWAP

20-day volume-weighted average price — the average paid over the last month; the page shows no intraday VWAP.

Supertrend

A trend-following stop line. A close through it flips the read.

Chandelier

A trailing stop set a few average ranges below the recent high.

Options & flow
Gamma / GEX

Dealer hedging pressure. Negative gamma amplifies moves both ways.

Call / put wall

The strikes with the heaviest open interest; they act as ceiling and floor.

Max pain

The strike where most options expire worthless.

13F · Form 4

Institutional filings, 45 days after quarter end. Insider trades, within two days.

Scoring
Composite signal

Independent factors scored and netted into one number.

Hit-rate

Share of past calls that resolved in the direction stated.

Brier score

Calibration measure. Lower means stated probabilities track reality.

HHI

Concentration 0–10,000. Above 2,500 means one segment carries the company.

EVT

Fits the tail rather than assuming a bell curve, so bad days are not understated.

Deep dive