Jeffrey Royal of Boston Omaha Purchases 10K Shares

December 11, 2023

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Jeffrey Royal, a director of Boston Omaha ($NYSE:BOC) Corporation, has recently revealed that he purchased 10,000 shares of the company’s stock. Boston Omaha is a publicly-traded holding company with investments in various industries including insurance, real estate, banking, and railroads. The company has a history of solid returns for their investors and has been a cornerstone of the local Omaha economy. Royal’s purchase is seen by some as a vote of confidence in the company and its future prospects. The director’s decision to invest his own money in the company signals to potential investors that he believes the stock is worth investing in.

Additionally, this purchase serves as an indication that Royal is focused on continuing to provide value for shareholders. It may be a sign that the company is poised to experience growth in the near future and that its investments are sound and profitable. In any case, it is an encouraging sign for potential investors.

Stock Price

On Friday, Jeffrey Royal, a shareholder of Boston Omaha Corporation, purchased 10,000 shares of the company’s stock. The stock opened at $15.2 and closed at $15.7, representing an increase of 4.6% from its prior closing price of $15.0. This purchase appears to be a sign of confidence in the future prospects of Boston Omaha, indicating Jeffrey Royal believes the company is well-positioned for success. This events signals that other investors may soon follow suit and buy up shares of the company, which could further drive up its value. Live Quote…

About the Company

  • Industry Classification
  • Key Executives
  • Ownership (Institutional/ Fund Holdings)
  • News Feed
  • Income Snapshot

    Below shows the total revenue, net income and net margin for Boston Omaha. More…

    Total Revenues Net Income Net Margin
    94.18 0.32 1.6%
  • Income Statement Reports (Yearly/ Quarterly/ LTM)
  • Income Supplement
  • Growth Performance
  • Cash Flow Snapshot

    Below shows the cash from operations, investing and financing for Boston Omaha. More…

    Operations Investing Financing
    16.65 -65.71 40.41
  • Cash Flow Statement (Yearly/ Quarterly/ LTM)
  • Cash Flow Supplement
  • Balance Sheet Snapshot

    Below shows the total assets, liabilities and book value per share for Boston Omaha. More…

    Total Assets Total Liabilities Book Value Per Share
    764.08 149.16 17.28
  • Balance Sheet (Yearly/ Quarterly)
  • Balance Sheet Supplement
  • Key Ratios Snapshot

    Some of the financial key ratios for Boston Omaha are shown below. More…

    3Y Rev Growth 3Y Operating Profit Growth Operating Margin
    27.1% -7.6%
    FCF Margin ROE ROA
    -38.6% -0.8% -0.6%
  • Income Statement Ratios
  • Balance Sheet Ratios
  • Cash Flow Ratios
  • Valuation Ratios
  • Other Ratios
  • Other Supplementary Items
  • Analysis

    GoodWhale has conducted an analysis of BOSTON OMAHA‘s wellbeing and our findings indicate it is classified as a ‘cheetah’, indicating it has achieved high revenue or earnings growth but is considered less stable due to lower profitability. Investors interested in such companies are those seeking a higher risk/reward profile, as the lack of stability could lead to rapid shifts in value. BOSTON OMAHA’s Star Chart reflects its strong growth potential, medium asset quality, and weak dividend potential. Looking at cashflows and debt, we have assigned BOSTON OMAHA an intermediate health score of 6/10. This indicates that the company may be able to pay off debt and fund future operations, but it is worth noting that the lack of stability associated with its ‘cheetah’ classification means there is a higher risk of cashflow fluctuations. More…

  • Star Chart Analysis
  • Valuation Analysis




  • Peers

    The competition between Boston Omaha Corp and its competitors is fierce. Each company is vying for a share of the market, and each has its own strengths and weaknesses. Innocean Worldwide Inc is a large company with a strong presence in the market. Domain Holdings Australia Ltd is a small company with a niche market. Nestbuilder.com Corp is a new company with a innovative product.

    – Innocean Worldwide Inc ($KOSE:214320)

    Innocean Worldwide Inc is a South Korean advertising agency. The company has a market cap of 843B as of 2022 and a Return on Equity of 9.71%. Innocean Worldwide Inc specializes in creating and executing integrated marketing campaigns for its clients. The company has a strong focus on digital marketing and has a team of experienced professionals who are experts in this field. Innocean Worldwide Inc has a wide range of clients, both in Korea and internationally, and has a proven track record of delivering successful campaigns.

    – Domain Holdings Australia Ltd ($ASX:DHG)

    Domain Holdings Australia Ltd is a digital media and services company. The company focuses on delivering an integrated suite of products and services that enable people to connect with each other and with the places they live, work and visit. Domain Holdings Australia Ltd has a market cap of 1.95B as of 2022, a Return on Equity of 4.18%. The company’s products and services include digital marketing, web design and development, and online advertising.

    – Nestbuilder.com Corp ($OTCPK:NBLD)

    Nestbuilder.com Corp is a company that provides online real estate services. The company has a market capitalization of 231.44k and a return on equity of -8065.9%. The company offers a variety of services including listings, home buying and selling tips, and mortgage information.

    Summary

    Investors may be interested in Boston Omaha Corp. (BOMN), which recently saw its stock price rise after the company’s director, Jeffrey Royal, disclosed his purchase of 10,000 shares. This could be indicative of the company’s strong financial position and potential for further growth. Analysts are likely to take a closer look at Boston Omaha’s latest financials and consider its industry outlook to determine whether now is a good time to buy into the company. Further, investors should consider the company’s long-term strategy and value proposition to determine whether it has the potential to generate sustained returns over the long term.

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