I just wanted to see how often (roughly) bonds (zb - black line) and equities (es) move in the same direction.
Blue - move in opposite direction up or down
Red - move in the same direction down
Green - move in the same direction up
Stable sales last 5 years, good 45% GM, no net debt, cash flowing. If they could only control expenses and capex and show better sales growth. Maybe a take private would make sense. Seems worth the risk for entry in the $8s-$9s.