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SYF
Synchrony Financial
Summary
Business
Earnings Call
Valuation
Profitability
Financial Health
Intel
Yearly Return 10Y annualized return is positive but below market average at 7.0% per year
Earnings Expectations SYF has met or exceeded earnings expectations in the majority of recent quarters (7/10)
Positive Low Price-to-Earnings Ratio
Positive Attractive EV/EBITDA Ratio
Negative High Price-to-Sales Ratio
Negative Moderate P/B Ratio

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Overall, Synchrony Financial demonstrates a strong business quality with a diversified product offering and solid financial performance. However, the impact of credit actions on growth and uncertainties from the regulatory environment present challenges. Future prospects look promising with expected growth and innovative products, but consumer confidence remains a critical factor.

Analysis Date: January 28, 2025
Last Updated: May 29, 2025

+97%
+7.0% per year

Past performance does not guarantee future results. The data presented is indicative and may not be updated in real-time.

Country US
Exchange NYSE
Industry Financial - Credit Services
Sector Financial Services
Market Cap $26.35B
CEO Mr. Brian D. Doubles

Synchrony Financial is a company that helps people and businesses manage their money through credit products. They offer credit cards, loans, and savings accounts, making it easier for customers to buy things now and pay later. You might see their credit cards at popular stores or use their financing options for healthcare and other services. Founded in 1932 and based in Stamford, Connecticut, Synchrony works with many retailers and service providers to offer these financial products.

Streams of revenue

Retail Card: 56%
Payment Solutions: 28%
CareCredit: 17%

Estimations for reference only

Geographic Distribution

United States: 83%
Other: 17%

Estimations for reference only

Core Products

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CareCredit Healthcare financing
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Retail Card Private label cards
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Payment Solutions Installment loans

Business Type

B2B Business to Business

Competitive Advantages

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Key Business Risks

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Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.

Graham Value Metrics

Benjamin Graham's value investing approach focuses on finding stocks with a significant margin of safety between their intrinsic value and market price.

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ROE: 18.323773596573957

ROA: None

Gross Profit Margin: 80.00997008973081

Net Profit Margin: 16.41187548465714

Trailing Twelve Months (TTM) values provide a view of the company's performance over the last year.

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Profitability metrics measure a company's ability to generate earnings relative to its revenue, operating costs, and other relevant metrics. Higher values generally indicate better performance.

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About Financial Health Metrics

Financial health metrics assess a company's ability to meet its financial obligations and its overall financial stability.

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Meeting Expectations

7 /10

Higher values indicate better execution and credibility

Recent Results

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EPS

1.63
Estimated
1.89
Actual
+15.95%
Difference

Revenue

$3744540560
Estimated
$5550000000
Actual
+48.22%
Difference
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Insider trading data shows purchase and sale activities by company executives and board members.

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SYF Stock Analysis: Synchrony Financial Investment Guide

SYF (Synchrony Financial) is a Financial Services company listed on New York Stock Exchange. The stock has generated 7.0% annual returns with an overall investment score of None/100.

Overall, Synchrony Financial demonstrates a strong business quality with a diversified product offering and solid financial performance. However, the impact of credit actions on growth and uncertainties from the regulatory environment present challenges. Future prospects look promising with expected growth and innovative products, but consumer confidence remains a critical factor.

SYF Key Financial Metrics

SYF financial analysis includes comprehensive valuation ratios, profitability metrics, and financial health indicators. The company has a valuation score of 6.499863548482464/100 and profitability score of 5.0/100 with financial health rated 4.4/100.

About Synchrony Financial

Synchrony Financial is a company that helps people and businesses manage their money through credit products. They offer credit cards, loans, and savings accounts, making it easier for customers to buy things now and pay later. You might see their credit cards at popular stores or use their financing options for healthcare and other services. Founded in 1932 and based in Stamford, Connecticut, Synchrony works with many retailers and service providers to offer these financial products.

SYF Investment Recommendation

Based on our comprehensive analysis of SYF, investors should consider the company's positive performance track record, earnings consistency (7/10 quarters beat expectations), and current valuation metrics when making investment decisions.

Financial Services Sector Analysis

SYF operates in the Financial - Credit Services industry within the Financial Services sector. This analysis compares Synchrony Financial performance against industry and sector benchmarks to provide context for investment decisions.

Frequently Asked Questions about SYF Stock

Is SYF a good investment?

SYF (Synchrony Financial) has generated 7.0% annual returns with an overall score of None/100. Overall, Synchrony Financial demonstrates a strong business quality with a diversified product offering and solid financial performance. However, the impact of credit actions on growth and uncertainties from the regulatory … Investors should consider their risk tolerance and investment goals when evaluating SYF.

What is SYF P/E ratio and valuation?

SYF valuation metrics including P/E ratio, price-to-book ratio, and price-to-sales ratio are analyzed on this page with comparisons to Financial - Credit Services industry and Financial Services sector benchmarks. The company currently has a valuation score of 6.499863548482464/100.

Should I buy SYF stock now?

The decision to buy SYF stock should be based on comprehensive analysis of financial metrics, market conditions, and individual investment goals. Our analysis provides profitability score of 5.0/100, financial health score of 4.4/100, and detailed performance metrics to help inform your investment decision.

What are SYF financial health indicators?

SYF financial health analysis includes liquidity ratios, debt levels, cash flow metrics, and profitability indicators. The company has a financial health score of 4.4/100 based on comprehensive analysis of balance sheet strength and operational efficiency.

How does SYF compare to competitors?

SYF performance is benchmarked against Financial - Credit Services industry peers and Financial Services sector averages. Our analysis includes comparative valuation ratios, profitability metrics, and growth indicators to provide context for Synchrony Financial's market position.

What are SYF historical returns?

SYF has generated 7.0% annual returns over the 10Y. Historical performance analysis includes price appreciation, dividend yields, and total shareholder returns compared to market benchmarks.

SYF Key Investment Metrics Summary

  • Annual Return: 7.0%
  • Valuation Score: 6.499863548482464/100
  • Profitability Score: 5.0/100
  • Financial Health Score: 4.4/100
  • Growth Score: -0.3998595904828805/100
  • Earnings Beat Rate: 7/10 quarters
  • Sector: Financial Services
  • Industry: Financial - Credit Services
  • Exchange: New York Stock Exchange
  • Market Cap: 26346908480

SYF Investment Thesis

Synchrony Financial (SYF) represents a moderate investment opportunity in the Financial Services sector. With an overall score of None/100, the company demonstrates areas for financial improvement.

Investment Strengths

  • Low Price-to-Earnings Ratio
  • Attractive EV/EBITDA Ratio
  • Strong Gross Profit Margin
  • Healthy Return on Equity
  • Strong Cash Position
  • Free Cash Flow Generation
  • Diverse and Flexible Financing Solutions
  • Strong Financial Performance
  • Technological Advancements and Digital Strategies
  • Strong Growth Outlook
  • Innovative Product Offerings

Investment Risks

  • High Price-to-Sales Ratio
  • Moderate P/B Ratio
  • Moderate Net Profit Margin
  • Operating Profit Margin Concerns
  • Liquidity Concerns
  • High Debt Levels
  • Impact of Credit Actions on Growth
  • Delinquency Rates Above Historical Averages
  • Uncertainty from Regulatory Environment
  • Limited Consumer Confidence Impacting Growth
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