Transaction DateRecipientSharesTypePriceValue
10th November 2020Derek Glanvill100Open or private sale$150.80$15,080.00
10th November 2020Derek Glanvill100Open or private sale$150.75$15,075.00
10th November 2020Derek Glanvill24Open or private sale$151.70$3,640.80
10th November 2020Derek Glanvill25Open or private sale$151.08$3,777.00
10th November 2020Derek Glanvill7Open or private sale$150.16$1,051.12
10th November 2020Derek Glanvill33Open or private sale$151.33$4,993.89
10th November 2020Derek Glanvill70Open or private sale$152.24$10,656.80
10th November 2020Derek Glanvill50Open or private sale$152.20$7,610.00
10th November 2020Derek Glanvill35Open or private sale$150.60$5,271.00
10th November 2020Derek Glanvill100Open or private sale$149.91$14,991.00
Omega Flex
Omega Flex logo

Based on disclosure changes, sentiment, insider trading and news impact we give a rating of 10/10.

Omega Flex, Inc. engages in the manufacture and sale of flexible metal hose and accessories. It offers products to numerous industries, such as steel production, fuel-handling, semi-conductor, medical, pharmaceutical, petrochemical, residential and commercial construction, and power generation. The company was founded in 1975 and is headquartered in Exton, PA.

Ticker: OFLX
Sector: Industrials
Industry: Specialty Industrial Machinery
SEC Central Index Key (CIK): 1317945
Exchange: NASDAQ
Auditor Opinion:

Disclosure Language changes
Red Flags
Cash at Carrying Value: $19 M (21%)
Inventory, Net: $11 M (0%)
Other Assets, Current: $974 Th (-53%)
Assets, Current: $46 M (-1%)
Property, Plant and Equipment, Net: $9 M (-2%)
Other Assets, Noncurrent: $1 M (1%)
Assets: $60 M (-1%)
Accounts Payable, Current: $2 M (-9%)
Liabilities, Current: $18 M (-14%)
Other Liabilities, Noncurrent: $2 M (-23%)
Liabilities: $20 M (-13%)
Common Stock, Value, Issued: $102 Th (0%)
Common Stock, Shares, Issued: $10 M (0%)
Additional Paid in Capital, Common Stock: $11 M (0%)
Retained Earnings (Accumulated Deficit): $29 M (8%)
Accumulated Other Comprehensive Income (Loss), Net of Tax: $1 M (20%)
Treasury Stock, Value: $10 (0%)
Stockholders' Equity (Parent): $39 M (5%)
Liabilities and Equity: $60 M (-1%)
Revenue: $22 M (-53%)
Cost of Revenue: $9 M (-52%)
Gross Margin: $13 M (-54%)
General and Administrative Expenses: $4 M (-52%)
Operating Income/Loss: $5 M (-54%)
Provision for income taxes: $1 M (-54%)