Consumer Portfolio Services, Inc.
$9.15
-3.0%Consumer Portfolio Services, Inc. operates as a specialty finance company in the United States. It is involved in the purchase and service of retail automobile contracts originated by franchised automobile dealers and select independent dealers in the sale of new and used automobiles, light trucks, and passenger vans. The company, through its automobile contract purchases, offers indirect financing to the customers of dealers with limited credit histories or past credit problems. It serves as an alternative source of financing for dealers, facilitating sales to customers who are not able to obtain financing from commercial banks, credit unions, and the captive finance companies. The company also acquires installment purchase contracts in four merger and acquisition transactions; purchases immaterial amounts of vehicle purchase money loans from non-affiliated lenders. and offers financing directly to sub-prime consumers to facilitate their purchase of a new or used automobile, light truck, or passenger van. It services its automobile contracts through its branches in California, Nevada, Virginia, Florida, and Illinois. The company was founded in 1991 and is based in Las Vegas, Nevada.
At a Glance
Live SnapshotIntrinsic Alpha Methodology
Thesis Lenses
Signal
High confidenceValuation multiple is compressed (P/E 10.4).
Valuation inputs: P/E 10.4, earnings yield +9.6%, momentum -3.0%.
If multiples stay elevated while momentum fades, downside repricing risk rises.
Driver
High confidenceReturn profile is strong (ROE +6.2%, ROIC +28.3%).
Profitability stack: net margin +4.5%, ROE +6.2%, ROIC +28.3%.
Quality deterioration often appears in margins before it shows up in headline EPS.
Risk
High confidenceDownside profile is elevated and scenario stress-testing is essential.
Risk factors: liabilities/assets +92.0%, momentum -3.0%, net margin +4.5%.
Higher leverage with weak momentum and thin margins can amplify drawdown severity.
Consumer Portfolio Services, Inc. Market vs Earnings Trajectory
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Consumer Portfolio Services, Inc. Fair Value Envelope
Consumer Portfolio Services, Inc. Profit Bridge
Profitability Analysis
Gross Margin
Exceptional pricing power and cost management. The company retains over half of revenue after direct costs.
Operating Margin
Outstanding operational efficiency. The company generates substantial profit from core operations.
Net Profit Margin
Minimal profitability after all expenses. Limited financial flexibility for reinvestment or shareholder returns.
Effective Tax Rate
Higher tax burden may reflect limited tax optimization or operations in high-tax jurisdictions.
Profitability Insight
Interest or tax burden: Strong operational performance but thin net margins indicate high interest expenses or unfavorable tax position eating into profits.
Consumer Portfolio Services, Inc. Cash Conversion Engine
Cash Flow Quality Analysis
FCF Conversion Rate
Excellent cash generation. The company converts earnings to cash at or above 100%, indicating high-quality earnings.
CapEx Intensity
Asset-light business model. Low capital requirements leave more cash available for shareholders and growth investments.
FCF Growth Trend
Strong FCF growth demonstrates improving cash generation and business momentum. Positive signal for sustainability.
Working Capital Impact
Working capital inflow boosted cash flow. Efficient management of receivables, inventory, and payables contributing positively.
Cash Flow Quality Insight
Exceptional cash generation: High-quality earnings converting to growing free cash flow. The company demonstrates strong pricing power, efficient operations, and disciplined capital allocation.
Consumer Portfolio Services, Inc. Funding & Solvency Profile
Financial Health Analysis
Debt-to-Equity Ratio
Conservative capital structure. The company relies primarily on equity financing, indicating low financial risk.
Working Capital
Strong working capital position provides significant operational flexibility and financial cushion.
Asset Composition
Asset-light business model with high liquidity. Majority of assets are easily convertible to cash.
Consumer Portfolio Services, Inc. Street Expectations Map
No Target Data
No analyst price targets available for cpss.
Consumer Portfolio Services, Inc. Insider Positioning
During the last 12 months, insiders have purchased $10.07M and sold $2.17M worth of CPSS shares, resulting in $7.90M of net buying activity.
3 Months
0
0.00
20.0K
150.60K
-151K
-$151K
3-6 Months
0
0.00
0
0.00
+0
+$0
6-9 Months
1.2M
10.07M
234.2K
1.88M
+8.2M
+$8.20M
9-12 Months
0
0.00
33.9K
144.99K
-145K
-$145K
Top Buyers
Bradley Charles E Jr
Director, 10 Percent Owner, Officer: Ceo
$2.46M
Riedl Robert E
Officer: Sr. Exec. Vice President
$983K
Lavin Michael T.
Officer: President
$983K
Terry Chris
Officer: Exec. Vice President
$737K
Robinson Teri
Officer: Exec. Vice President
$737K
Top Sellers
Roberts William B
Director
$1.73M
Wood Daniel S
Director
$151K
Washer Greg
Director
$144K
Jackson Noel
Officer: Sr. Vice President
$80K
Grasso Louis M
Director
$49K
Insider Activity Analysis
Net Insider Sentiment
Strong bullish signal with $7.90M net buying. Insiders are aggressively accumulating shares, suggesting significant confidence in future prospects.
Buy/Sell Ratio
Exceptional buy/sell ratio. Buying dramatically outweighs sellingโone of the strongest possible insider signals.
Recent Trend (3 Months)
Heavy recent selling activity. Recent insider sales notably exceed purchasesโmay warrant investigation into company developments.
Insider Participation
5 insider buyers and 5 sellers. Equal participation suggests mixed or neutral insider views.
Insider Activity Insight
Compelling insider conviction: The combination of strong buy/sell ratio and multiple buyers suggests insiders see attractive risk/reward. Consider this alongside fundamental analysis for confirmation.
No Dividend Yield Data
CPSS has not reported any dividend yield values in the available annual periods.
cpss Dividend History
Learning Layer
Related Guides
Build conviction on CPSS by pairing this stock hub with focused valuation guides.
Research Paths
Snapshot
Start with context, operating signals, and key market metrics.
Value Model
Stress test fair value across bear, base, and bull assumptions.
Statements
Validate revenue quality, margins, and balance sheet durability.
Earnings Call
Read management commentary and compare it with reported outcomes.
Dividends
Check payout sustainability and long-term distribution behavior.
Analyst Expectations
Review consensus spread and where estimate risk is concentrated.