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ONEMAIN HOLDINGS, INC.

OMF

CIK 0001584207 Β· Quarterly mode Β· latest period FY2025 (Q4) (ending 2025-12-31) Β· sourced from SEC EDGAR

At a glance Β· FY2025 (Q4)

Revenue
$1.42B
↑+7.3% +$96Mvs FY2024 (Q4)
Operating Income
$1.29B
↑+7.8% +$94Mvs FY2024 (Q4)
Net Income
$204M
↑+61.9% +$78Mvs FY2024 (Q4)
Gross Profit
$1.37B
↑+7.6% +$97Mvs FY2024 (Q4)

Quality Score

Quality score

6-dimension fundamental snapshot Β· latest annual filed values Β· S&P 500 calibration

Poor
7/100
  • Profitability
    0Insufficient data
  • Liquidity
    0Insufficient data
  • Leverage
    0D/E 6.67 (under 0.5 = conservative)
  • Efficiency
    0Asset Turnover 0.20x (1.0+ = capital-efficient)
  • Growth
    41Revenue YoY +7.3% (10% = solid, 25%+ = elite)
  • Margin Trend
    0Insufficient data

Calibrated to S&P 500 medians. Each sub-score is computed from a single CFA-grade ratio (Profitability = ROIC, Liquidity = Current Ratio, Leverage = D/E, Efficiency = Asset Turnover, Growth = Revenue YoY, Margin Trend = 4Q operating-margin avg vs prior 4Q). Overall = simple mean.

DCF intrinsic value

DCF intrinsic value

two-stage Gordon model

Project OMF's free cash flow forward, discount back at your hurdle rate, divide by diluted shares. Edit the assumptions to see how sensitive the intrinsic value is.

9%

Trailing 3-yr CAGR was 9.5%

10%

10% is a common all-equity benchmark for US large-caps

2.5%

Should be ≀ long-run GDP growth (~2.5% nominal)

5

5-year explicit projection + perpetuity terminal

Intrinsic value per share
$470.63
Total enterprise IV
$56.13B
Diluted shares
0.12B
Terminal PV
$40.89B (73% of total)
Year-5 FCF
$4.82B
YearProjected FCFDiscounted PV
+1$3.41B$3.10B
+2$3.72B$3.08B
+3$4.06B$3.05B
+4$4.42B$3.02B
+5$4.82B$2.99B
Terminal$65.86B$40.89B

DCF outputs are HIGHLY sensitive to growth + WACC assumptions. A 1pp WACC change can shift IV by 20%+. Use this as a sanity-check vs market price, not a target β€” and always cross-check the underlying FCF source (EDGAR cashflow statement, latest annual). Margin of safety convention: 30-50% discount to IV before buying.

Capital allocation Β· trailing 4 quarters

how the company spent its cash
Dividends paid (TTM)
$499M
cash returned to holders
Stock buybacks (TTM)
$141M
share count reduction
Stock-based comp (TTM)
$36M
non-cash dilution

Balance sheet Β· 2025-12-31

latest filed snapshot
Total assets
$27.39B
everything owned
Total liabilities
$23.99B
everything owed
Stockholders' equity
$3.40B
shareholder claim
Net debt
$21.78B
LT debt minus cash

Recent performance Β· 56 quarters

Revenue↑+7.3% +$96M
$1.42B
Net Income↑+61.9% +$78M
$204M
Free Cash Flow↑+15.0% +$113M
$865M

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