Materials · Agricultural Chemicals · NYSE · CIK 5981 · FYE Dec 31 · Prices AT CLOSE 2026-07-28 (USD) — end-of-day, never a live or intraday quote
Last $2.59Day −1.52%Mkt cap $74M1Y −28.7%Off 52W high −56.3%Vol (1Y) 67.9%
Daily closing price, split-adjusted to the current basis; 3y shown of 5,293 bars on file. Sampled to 240 points — every point is a real close, none averaged. Price return, not total return (dividends excluded). Source marketstack.
| Short interest0.7% of sh out |
| Days to cover1.0d |
| 13F net flow (QoQ)+0.53% |
| Top-10 13F concentration56.1% |
| Next report (est.)2026-08-06 |
Short interest is FINRA semi-monthly, settlement 2026-07-15. 13F figures are quarterly filings, period 2026-Q1 — a lower bound on true ownership.
| Sales (TTM)$522.9M |
| Earnings (TTM)-$45.6M |
| Net margin−9.7% |
| Sales growth 3Y−5.5% |
Screener basis: ratios from the latest reported fiscal year; Sales/Earnings are trailing twelve months in the reporting currency (USD). The P/E is a trailing FULL-YEAR P/E, not TTM. Missing lines are absent from the filings, never imputed.
| YTD−32.2% |
| 1Y−28.7% |
| 3Y−85.4% |
| 5Y−84.3% |
| 10Y−82.3% |
| Since incept. (ann.)−7.9% |
Total return through 2026-07-28 · series begins 2005-07-11. Only the windows this history actually covers are shown.
| Ann. volatility (1Y)67.9% |
| Ann. volatility (3Y)63.8% |
| Sharpe (1Y)−0.17 |
| Sharpe (3Y)−0.68 |
| Max drawdown (1Y)−64.5% |
| Max drawdown (3Y)−88.5% |
| Beta (3Y vs SPY)2.18 |
Daily simple returns, annualized; drawdown is peak-to-trough within the window. Beta is the OLS slope of monthly returns on SPY's over three years. Each figure is labeled by the window it was measured over — they are not comparable across windows.
| Manager | Shares | Value | % sh out | QoQ |
|---|---|---|---|---|
| BlackRock, Inc. | 2.1M | $5M | 7.27% | +11.2% |
| WELLINGTON MANAGEMENT GROUP LLP | 1.7M | $4M | 5.79% | −2.7% |
| VANGUARD CAPITAL MANAGEMENT LLC | 1.1M | $3M | 3.99% | new |
| DIMENSIONAL FUND ADVISORS LP | 1.0M | $3M | 3.65% | −12.4% |
| TWO SIGMA INVESTMENTS, LP | 746,189 | $2M | 2.61% | +141.7% |
| EVR Research LP | 720,000 | $2M | 2.52% | +16.4% |
| GEODE CAPITAL MANAGEMENT, LLC | 663,140 | $2M | 2.32% | +3.8% |
| STATE STREET CORP | 639,790 | $2M | 2.24% | +0.4% |
Reported 13F long positions as filed for 2026-Q1 (change vs 2025-Q4). 13F covers US-listed long equity only — the sum is a LOWER BOUND on institutional ownership, never a total.
| Period end | Reported | EPS | EPS YoY | Revenue | Rev YoY |
|---|---|---|---|---|---|
| 2026-03-31 | 2026-05-06 | −$0.14 | — | $123.6M | +6.7% |
| 2025-12-31 | 2026-03-16 | — | — | $150.7M | −9.0% |
| 2025-09-30 | 2025-11-10 | −$0.43 | — | $119.3M | +0.9% |
| 2025-06-30 | 2025-07-31 | −$0.03 | — | $129.3M | +0.9% |
EPS and revenue as reported in this filer's own XBRL — our extraction of the filings, not a vendor consensus feed, and never a beat/miss claim (we carry no estimates). YoY compares the same fiscal quarter a year earlier. Next report 2026-08-06 is ESTIMATED from filing cadence (median gap 92d) — not company-confirmed.
US 33% · International Customers 23% · Non Us 21% · Central And South America 12% · MX 5%
geographic · each slice's share of TAGGED segment revenue in the latest annual filing (XBRL, as filed). Untagged revenue is excluded from the denominator, so slices need not sum to consolidated sales.