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PROG Holdings, Inc.

PRG Consumer Discretionary Diversified Commercial Services
$35.25
▲ +3.2% Today
as of Jun 7, 07:25 ET
Last 30 days +22.06% Apr 28 → Jun 05
$28.18 $30.73 $33.28 $35.83 $38.38 Apr 28 May 05 May 13 May 20 May 29 Jun 05
Open
$34.28
High
$35.31
Low
$33.97
Volume
$352,771
Avg Vol
$468,321
Mkt Cap
$1.5B
P/E (TTM)
13.25
Beta
52w High
$41.14
52w Low
$25.80
Div Yield
Shares Out

Overview

52-week range
$26
$41
62% of range
Avg surprise (last 1)
+9.8%
Avg reaction (last 1)
-7.0%
0% positive
Latest IV / EM
49%
EM ±6.7% · $35 · Jun 18

Earnings trends

EPS — actual vs estimate Actual Estimate
$0.49$0.85$1.21$1.58$1.94 Actual $0.79Actual $0.76Actual $0.49Actual $0.77Actual $1.94Actual $0.90Est $0.82Actual $0.95Actual $0.82Actual $0.89 JunSepMarJunSepMar/2025JunSepMar
Revenue vs Net Income Revenue Net income
$0$195M$390M$585M$780M Jun 24Sep 24Mar 25Jun 25Sep 25Mar 26

Earnings history

DatePeriodActual EPSEstSurpriseYoY %ΔDay reactSource
Tue Mar 31, 2026Mar 2026 $0.89 financials
Tue Sep 30, 2025Sep 2025 $0.82 financials
Mon Jun 30, 2025Jun 2025 $0.95 financials
Wed Apr 23, 2025Mar/2025 $0.90 $0.82 +9.8% -7.0% earnings
Mon Sep 30, 2024Sep 2024 $1.94 financials
Sun Jun 30, 2024Jun 2024 $0.77 financials
Sun Mar 31, 2024Mar 2024 $0.49 financials
Sat Sep 30, 2023Sep 2023 $0.76 financials
Fri Jun 30, 2023Jun 2023 $0.79 financials

Financials

Income statement (quarterly)

MetricMar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
Revenue$743M$595M$605M$668M$606M$592M
Cost of revenue$63M$0
Gross profit
Operating income$65M$54M$61M$56M$49M$56M
Net income$36M$33M$38M$35M$84M$34M
EPS (diluted)$0.89$0.82$0.95$0.83$1.94$0.77

Balance sheet (quarterly)

MetricMar 2026Dec 2025Sep 2025Jun 2025Mar 2025Dec 2024Sep 2024Jun 2024
Cash & equivalents$69M$309M$293M$222M$213M$96M$222M$250M
Inventory$3M$0
Total current assets
Total assets$2.04B$1.61B$1.55B$1.45B$1.47B$1.51B$1.45B$1.46B
Long-term debt$936M$595M
Total liabilities$1.27B$864M$843M$786M$815M$863M$816M$879M
Total equity$774M$746M$704M$669M$654M$650M$631M$582M

Implied volatility — last 90 days

43%46%48%51%53% Jun 07 — IV 49% · EM ±6.7%

Sector peers

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