Envela Corporation

Envela Corporation

ELAยทAMEX

$24.13

-2.1%
Consumer CyclicalLuxury Goods

Envela Corporation, together with its subsidiaries, primarily buys and sells jewelry and bullion products to individual consumers, dealers, Fortune 500 companies, municipalities, school districts, and other organizations in the United States. It offers jewelry and fine-watch products, including bridal jewelry, fashion jewelry, custom-made jewelry, diamonds, and other gemstones, as well as watches and jewelry components. The company also buys and sells various forms of gold, silver, platinum, and palladium products, including United States and other government coins, private mint medallions, art bars, and trade unit bars; and numismatic items, such as rare coins, currency, medals, tokens, and other collectibles, as well as provides jewelry and watches repair services. In addition, it offers end-of-life electronics recycling services; disposal transportation and product tracking services; IT-asset disposition services, including compliance and data sanitization services; and services to companies in the areas of software upgrades, and hardware or networking capabilities, as well as moving to cloud services. As of December 31, 2021, Envela Corporation marketed its products and services through six retail locations under the Dallas Gold & Silver Exchange name; and one retail location under the Charleston Gold & Diamond Exchange name, as well as through cgdeinc.com, dgse.com, echoenvironmental.com, ITADUSA.com, availrecovery.com, and teladvance.com e-commerce sites. The company was formerly known as DGSE Companies, Inc. and changed its name to Envela Corporation in December 2019. Envela Corporation was incorporated in 1965 and is headquartered in Irving, Texas.

At a Glance

Live Snapshot
Market Cap$626.50M
EPS0.5600
P/E Ratio43.09
Earnings Date08/05/2026

Intrinsic Alpha Methodology

Thesis Lenses

Signal ยท Driver ยท Risk

Signal

High confidence

Valuation multiple is elevated (P/E 43.1).

Valuation inputs: P/E 43.1, earnings yield +2.3%, momentum -2.1%.

If multiples stay elevated while momentum fades, downside repricing risk rises.

Driver

High confidence

Return profile is strong (ROE +21.8%, ROIC +16.2%).

Profitability stack: net margin +6.1%, ROE +21.8%, ROIC +16.2%.

Quality deterioration often appears in margins before it shows up in headline EPS.

Risk

High confidence

Risk profile is balanced but has notable pressure points to monitor.

Risk factors: liabilities/assets +30.2%, momentum -2.1%, net margin +6.1%.

Higher leverage with weak momentum and thin margins can amplify drawdown severity.

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Envela Corporation Market vs Earnings Trajectory

ELA ยท AMEX

Loading price and EPS data...

Envela Corporation

Envela Corporation Fair Value Envelope

ELA ยท AMEX

Our analysis suggests that ELA has a fair value of HIDDEN per share in the Base Case projection. With shares currently trading at $24.13, this represents a potential HIDDEN relative to our calculated worth for Envela Corporation.

Intrinsic Value
Current Price: $24.13
3Y-3.0%
5Y+133.0%
10Y-287.0%
3Y+32.0%
5Y+112.0%
10Y+399.0%
3Y-7.0%
5Y+129.0%
10Y-464.0%
3Y-74.0%
5Y-63.0%
10Y+576.0%
3Y-86.0%
5Y+34.0%
10Y-273.0%
3Y+35.0%
5Y+137.0%
10Y+644.0%
Envela Corporation

Envela Corporation Profit Bridge

ELA ยท AMEX
Revenue241.02M
Cost of Goods Sold (187.10M)
Gross Profit53.92M
Operating Expenses (35.82M)
Operating Income18.11M
Interest Expense (406.64K)
Other Income/Expense614.29K
Pretax Income18.72M
Income Tax (4.13M)
Net Income14.60M
Net Income
14.60M

Profitability Analysis

Gross Margin

22.4%

Moderate margins typical of competitive industries. Monitor for pricing pressure or rising costs.

Operating Margin

7.5%

Acceptable margins but limited operational leverage. Operating expense control is important.

Net Profit Margin

6.1%

Moderate profitability with room for improvement. Monitor interest expenses and tax efficiency.

Effective Tax Rate

22.0%

Moderate tax rate typical for most corporations. Represents standard tax burden on profits.

Profitability Insight

Efficient profit conversion: Minimal margin compression from gross to net indicates lean operations and favorable tax/interest environment.

22.37%
Gross Profit Margin
-9%
3Y-9.0%
5Y+10.0%
10Y+30.0%
7.51%
Operating Profit Margin
66%
3Y-2.0%
5Y+26.0%
10Y-201.0%
6.06%
Net Profit Margin
62%
3Y-29.0%
5Y+8.0%
10Y-173.0%
21.77%
Return on Equity
70%
3Y-40.0%
5Y-40.0%
10Y-132.0%
15.20%
Return on Assets
75%
3Y-31.0%
5Y-3.0%
10Y-149.0%
16.22%
Return on Invested Capital
83%
3Y-24.0%
5Y-8.0%
10Y-126.0%
ELA

Envela Corporation Cash Conversion Engine

ELA ยท AMEX
Net Income14.60M
Depreciation & Amortization1.87M
Stock-Based Compensation0.00
Change in Working Capital-16.97M
Others2.89M
Capital Expenditures-1.20M
Free Cash Flow1.38M

Cash Flow Quality Analysis

FCF Conversion Rate

9.5%

Weak cash conversion. Significant portion of earnings not converting to cashโ€”review working capital trends and capital intensity.

CapEx Intensity

46.5%

Capital-intensive operations require significant reinvestment. Monitor whether CapEx is maintenance or growth-oriented.

FCF Growth Trend

-79.5%

Significant FCF decline raises concerns. Urgent review needed of operational performance and capital allocation.

Working Capital Impact

-$16.97M

Significant working capital drain. Growth may be consuming cash through inventory buildup or receivables extensionโ€”monitor closely.

Cash Flow Quality Insight

Deteriorating cash generation: Both declining FCF and weak conversion rate signal fundamental challenges. Investigate margin pressure, rising costs, or working capital issues.

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Envela Corporation Funding & Solvency Profile

ELA ยท AMEX
Cash & Cash Equivalents38.62M
Net Receivables3.59M
Inventory34.01M
Other Current Assets1.15M
Total Current Assets77 M
Property, Plant & Equipment23.51M
Goodwill & Intangible Assets6.84M
Long-Term Investments0.00
Other Non-Current Assets254.15K
Total Non-Current Assets24 M
Total Assets
107.97M

Financial Health Analysis

Current Ratio

3.52x

Excellent liquidity position. The company can easily cover its short-term obligations with substantial cushion.

Debt-to-Equity Ratio

0.42x

Conservative capital structure. The company relies primarily on equity financing, indicating low financial risk.

Working Capital

55 M

Strong working capital position provides significant operational flexibility and financial cushion.

Asset Composition

72% Current

Asset-light business model with high liquidity. Majority of assets are easily convertible to cash.

Financial Health Insight

Strong financial foundation: Excellent liquidity combined with conservative leverage suggests the company is well-positioned to weather economic uncertainties and fund growth opportunities.

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Envela Corporation Street Expectations Map

ELA ยท AMEX

Wall Street analysts project that ELA stock may rise significantly over the coming 12 months. The consensus 1-year price target stands at 27.00, with estimates ranging from a low of 27.00 to a high of 27.00.

Lowest Target
27.00
11.89%
Consensus Target
27.00
11.89%
Highest Target
27.00
11.89%

The consensus 1-year price target stands at 27.00, with estimates ranging from a low of 27.00 to a high of 27.00.

Analyst Consensus Analysis

Upside Potential

+11.9%

Moderate upside. Analysts expect positive returns but with limited margin of safety. Consider entry timing.

Analyst Agreement

0.0% spread

High analyst agreement. Narrow target range indicates strong consensus on valuation, suggesting clear investment thesis and predictable outlook.

Analyst Conviction

High

Positive outlook with reasonable agreement. Analysts generally optimistic about prospects with manageable uncertainty.

Market Sentiment Insight

Monitor and evaluate: Current analyst consensus suggests limited conviction or near-term catalysts. Stay informed on company developments and reassess positioning as new information emerges.

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Envela Corporation Insider Positioning

ELA ยท AMEX

During the last 12 months, insiders have purchased $7K worth of ELA shares, with no selling activity reported.

3 Months

Bought

55

1.32K

Sold

0

0.00

Net Activity

+1K

+$1K

3-6 Months

Bought

0

0.00

Sold

0

0.00

Net Activity

+0

+$0

6-9 Months

Bought

90

1.06K

Sold

0

0.00

Net Activity

+1K

+$1K

9-12 Months

Bought

780

4.89K

Sold

0

0.00

Net Activity

+5K

+$5K

Top Buyers

1
DJG

Deluca John Garrett

Officer: Cfo

925 sharesโ€ข4 transactions

$7K

Top Sellers

No selling activity

Insider Activity Analysis

Net Insider Sentiment

Bullish

Strong bullish signal with $7K net buying. Insiders are aggressively accumulating shares, suggesting significant confidence in future prospects.

Buy/Sell Ratio

โˆž:1

Perfect buy/sell ratio. Only buying activity with zero sellingโ€”the most bullish possible insider signal.

Recent Trend (3 Months)

$1K

Very strong recent buying momentum. Recent insider purchases significantly outpace sales, suggesting near-term optimism.

Insider Participation

High Buying

1 insider buyers vs. 0 sellers. Broad-based buying across management team suggests widespread confidence.

Insider Activity Insight

Unanimous insider buying: Zero selling combined with active buying is rare and typically very bullish. Insiders appear to see significant upside with limited downside risk.

0.00%
Dividend Yield
3Y-
5Y-
10Y-100.0%
ย 

ela Dividend History

ELA
10Y CAGR +0%
Latest $0
Annual $0
Stable dividend payments
Last Period: +0%