Tron (TRON)


Market Price (9/2/2026): $1.52 | Market Cap: $714.8 MilSector: Consumer Discretionary | Industry: Leisure Facilities

Tron (TRON)


Market Price (9/2/2026): $1.52
Market Cap: $714.8 Mil
Sector: Consumer Discretionary
Industry: Leisure Facilities

Investment Highlights Why It Matters Detailed financial logic regarding cash flow yields vs trend-riding momentum.

0

Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 20%

Megatrend and thematic drivers
Megatrends include Crypto & Blockchain, and Fintech & Digital Payments. Themes include Blockchain Enterprise Solutions, and Digital Payments.

Weak multi-year price returns
2Y Excs Rtn is -110%, 3Y Excs Rtn is -148%

Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -2.3 Mil, Op Mgn LTMOperating Margin = Operating Income / Revenue Reflects profitability before taxes and before impact of capital structure (interest payments). is -45%

Expensive valuation multiples
P/SPrice/Sales ratio is 152x, P/EBITPrice/EBIT or Price/(Operating Income) ratio is 84x, P/EPrice/Earnings or Price/(Net Income) is 112x

Weak revenue growth
Rev Chg 3Y AvgRevenue Change % averaged over trailing 3 years is -3.3%

Not cash flow generative
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is -44%, FCF/Rev LTMFree Cash Flow / Revenue (Sales), Last Twelve Months (LTM) is -44%

Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -3.5%

High stock price volatility
Vol 12M is 117%

Significant short interest
Short Interest Days-to-CoverDTC = (Short Interest Share Quantity) / (Average Daily Trading Volume). Reflects how many days it would take to cover (close out) the short interest based on average volumes. High DTC can signify an increased risk of a short squeeze. is 18.8

Key risks
TRON key risks include [1] regulatory scrutiny highlighted by SEC charges against its founder, Show more.

0 Strong revenue growth
Rev Chg LTMRevenue Change % Last Twelve Months (LTM) is 20%
1 Megatrend and thematic drivers
Megatrends include Crypto & Blockchain, and Fintech & Digital Payments. Themes include Blockchain Enterprise Solutions, and Digital Payments.
2 Weak multi-year price returns
2Y Excs Rtn is -110%, 3Y Excs Rtn is -148%
3 Not profitable at operating income level
Op Inc LTMOperating Income, Last Twelve Months is -2.3 Mil, Op Mgn LTMOperating Margin = Operating Income / Revenue Reflects profitability before taxes and before impact of capital structure (interest payments). is -45%
4 Expensive valuation multiples
P/SPrice/Sales ratio is 152x, P/EBITPrice/EBIT or Price/(Operating Income) ratio is 84x, P/EPrice/Earnings or Price/(Net Income) is 112x
5 Weak revenue growth
Rev Chg 3Y AvgRevenue Change % averaged over trailing 3 years is -3.3%
6 Not cash flow generative
CFO/Rev LTMCash Flow from Operations / Revenue (Sales), Last Twelve Months (LTM) is -44%, FCF/Rev LTMFree Cash Flow / Revenue (Sales), Last Twelve Months (LTM) is -44%
7 Yield minus risk free rate is negative
ERPEquity Risk Premium (ERP) = Total Yield - Risk Free Rate, Reflects the premium above risk free assets offered by the investment. is -3.5%
8 High stock price volatility
Vol 12M is 117%
9 Significant short interest
Short Interest Days-to-CoverDTC = (Short Interest Share Quantity) / (Average Daily Trading Volume). Reflects how many days it would take to cover (close out) the short interest based on average volumes. High DTC can signify an increased risk of a short squeeze. is 18.8
10 Key risks
TRON key risks include [1] regulatory scrutiny highlighted by SEC charges against its founder, Show more.

TRON in ETFs

Weight = TRON's share of each fund

VTI0.00%
VTWO0.00%

Valuation & Metrics

Price Chart

Why The Stock Moved

Qualitative Assessment

AI Analysis | Feedback

Updated on 9/1/2026

Tron (TRON) stock has lost about 20% since 5/31/2026 because of the following key factors:

1. Disappointing Core Operational Performance and Guidance.

Tron Inc. experienced investor backlash following its fiscal Q2 2026 (ending June 30, 2026) earnings report, despite a reported net income of $2.87 million, an increase from $1.47 million in fiscal Q2 2025. This negative sentiment stemmed from negative operating income and operating cash flow of approximately -$0.42 million, indicating that core business operations were not profitable and net income was primarily driven by non-operating digital asset gains. This led to downgraded guidance in August 2026.

2. High Valuation Amidst Volatility.

The company's stock exhibited a rich valuation in August 2026, with a price-to-sales ratio near 195 and a price-to-book ratio around 3.9. This elevated valuation, coupled with the stock's characterization as a "high-volatility small-cap," made it susceptible to a sharp correction. Following the earnings report and broader market shifts, the stock pulled back significantly, losing approximately 15.88% by August 31, 2026, from higher levels seen earlier in the month.

Show more
Updated on 9/1/2026

Tron (TRON) stock has lost about 20% since 5/31/2026 because of the following key factors:

1. Disappointing Core Operational Performance and Guidance.

Tron Inc. experienced investor backlash following its fiscal Q2 2026 (ending June 30, 2026) earnings report, despite a reported net income of $2.87 million, an increase from $1.47 million in fiscal Q2 2025. This negative sentiment stemmed from negative operating income and operating cash flow of approximately -$0.42 million, indicating that core business operations were not profitable and net income was primarily driven by non-operating digital asset gains. This led to downgraded guidance in August 2026.

2. High Valuation Amidst Volatility.

The company's stock exhibited a rich valuation in August 2026, with a price-to-sales ratio near 195 and a price-to-book ratio around 3.9. This elevated valuation, coupled with the stock's characterization as a "high-volatility small-cap," made it susceptible to a sharp correction. Following the earnings report and broader market shifts, the stock pulled back significantly, losing approximately 15.88% by August 31, 2026, from higher levels seen earlier in the month.

3. Broader Cryptocurrency Market Downturn in Fiscal Q2 2026.

Tron Inc.'s strategic investments in TRON tokens (TRX) and its ecosystem expose its stock to the wider cryptocurrency market's performance. Fiscal Q2 2026 (June 2026) saw a broad-based correction in digital assets, which experienced heavy losses due to rising interest rate expectations, geopolitical uncertainty, and general risk aversion in global financial markets. This macroeconomic trend likely negatively impacted Tron Inc.'s digital asset holdings, which were a significant contributor to its net income, contributing to the stock's decline.

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Stock Movement Drivers

Fundamental Drivers

The -18.0% change in TRON stock from 5/31/2026 to 9/1/2026 was primarily driven by a -41.6% change in the company's Shares Outstanding (Mil).
(LTM values as of)53120269012026Change
Stock Price ($)2.001.64-18.0%
Change Contribution By: 
Total Revenues ($ Mil)554.7%
Net Income Margin (%)113.0%135.6%20.0%
P/E Multiple100.5112.411.8%
Shares Outstanding (Mil)275470-41.6%
Cumulative Contribution-18.0%

LTM = Last Twelve Months as of date shown

Market Drivers

5/31/2026 to 9/1/2026
ReturnCorrelation
TRON-18.0% 
Market (SPY)0.7%16.9%
Sector (XLY)-5.2%10.6%

Fundamental Drivers

The 20.6% change in TRON stock from 2/28/2026 to 9/1/2026 was primarily driven by a 802.1% change in the company's P/E Multiple.
(LTM values as of)22820269012026Change
Stock Price ($)1.361.6420.6%
Change Contribution By: 
Total Revenues ($ Mil)4513.5%
Net Income Margin (%)269.6%135.6%-49.7%
P/E Multiple12.5112.4802.1%
Shares Outstanding (Mil)110470-76.6%
Cumulative Contribution20.6%

LTM = Last Twelve Months as of date shown

Market Drivers

2/28/2026 to 9/1/2026
ReturnCorrelation
TRON20.6% 
Market (SPY)11.4%16.7%
Sector (XLY)-1.7%11.3%

Fundamental Drivers

The -61.8% change in TRON stock from 8/31/2025 to 9/1/2026 was primarily driven by a -95.4% change in the company's Shares Outstanding (Mil).
(LTM values as of)83120259012026Change
Stock Price ($)4.291.64-61.8%
Change Contribution By: 
Total Revenues ($ Mil)4519.7%
P/S Multiple21.9152.4596.3%
Shares Outstanding (Mil)22470-95.4%
Cumulative Contribution-61.8%

LTM = Last Twelve Months as of date shown

Market Drivers

8/31/2025 to 9/1/2026
ReturnCorrelation
TRON-61.8% 
Market (SPY)19.1%26.4%
Sector (XLY)-0.5%20.8%

Fundamental Drivers

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Market Drivers

8/31/2023 to 9/1/2026
ReturnCorrelation
TRON  
Market (SPY)75.1%26.4%
Sector (XLY)37.3%20.9%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
TRON Return-----81%41%-73%
Peers Return4%-17%23%37%0%3%51%
S&P 500 Return27%-19%24%23%16%12%105%

Monthly Win Rates [3]
TRON Win Rate----33%62% 
Peers Win Rate47%42%53%57%45%45% 
S&P 500 Win Rate75%42%67%75%67%50% 

Max Drawdowns [4]
TRON Max Drawdown------49% 
Peers Max Drawdown-26%-43%-39%-21%-39%-31% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: FUN, AS, LTH, PLNT, OSW.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 9/1/2026 (YTD)

How Low Can It Go

TRON has limited trading history. Below is the Consumer Discretionary sector ETF (XLY) in its place.

EventXLYS&P 500
2025 US Tariff Shock
  % Loss-21.8%-18.8%
  % Gain to Breakeven27.9%23.1%
  Time to Breakeven105 days79 days
2024 Yen Carry Trade Unwind
  % Loss-11.2%-7.8%
  % Gain to Breakeven12.6%8.5%
  Time to Breakeven37 days18 days
Summer-Fall 2023 Five Percent Yield Shock
  % Loss-13.6%-9.5%
  % Gain to Breakeven15.8%10.5%
  Time to Breakeven42 days24 days
2022 Inflation Shock & Fed Tightening
  % Loss-35.9%-24.5%
  % Gain to Breakeven56.0%32.4%
  Time to Breakeven874 days427 days
2020 COVID-19 Crash
  % Loss-33.9%-33.7%
  % Gain to Breakeven51.3%50.9%
  Time to Breakeven82 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-19.6%-19.2%
  % Gain to Breakeven24.4%23.8%
  Time to Breakeven98 days105 days

Compare to FUN, AS, LTH, PLNT, OSW

In The Past

State Street Consumer Discretionary Select Sector SPDR ETF's stock fell -21.8% during the 2025 US Tariff Shock. Such a loss loss requires a 27.9% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

TRON has limited trading history. Below is the Consumer Discretionary sector ETF (XLY) in its place.

EventXLYS&P 500
2025 US Tariff Shock
  % Loss-21.8%-18.8%
  % Gain to Breakeven27.9%23.1%
  Time to Breakeven105 days79 days
2022 Inflation Shock & Fed Tightening
  % Loss-35.9%-24.5%
  % Gain to Breakeven56.0%32.4%
  Time to Breakeven874 days427 days
2020 COVID-19 Crash
  % Loss-33.9%-33.7%
  % Gain to Breakeven51.3%50.9%
  Time to Breakeven82 days140 days
2008-2009 Global Financial Crisis
  % Loss-51.0%-53.4%
  % Gain to Breakeven104.3%114.4%
  Time to Breakeven372 days1085 days

Compare to FUN, AS, LTH, PLNT, OSW

In The Past

State Street Consumer Discretionary Select Sector SPDR ETF's stock fell -21.8% during the 2025 US Tariff Shock. Such a loss loss requires a 27.9% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

About Tron (TRON)

Tron, officially known as Corner Growth Acquisition Corp. 2, operates as a blank check company, also commonly referred to as a Special Purpose Acquisition Company (SPAC). Incorporated in 2021 and based in Palo Alto, California, its core business involves raising capital through an initial public offering (IPO) with the sole intention of using those funds to acquire or merge with an existing, privately held operating company. It does not conduct any commercial operations of its own.

The primary "service" offered by Tron is to provide a vehicle for a private company to become publicly traded without going through the traditional, often lengthy and complex, IPO process. Essentially, it leverages its public listing and raised capital to identify a promising target company, typically within a specific industry focus or with high growth potential, and then executes a business combination. Its main "product" is the pooled capital and the expertise of its management team to source and complete such an acquisition.

Tron primarily serves two groups. Its "customers" are private companies that are looking to gain access to public market capital and liquidity by going public through a merger. The other key market it serves comprises public investors who purchase shares in the SPAC. These investors are seeking potential returns from the future acquisition of a high-growth private company, which will then assume the SPAC's public listing, offering them an indirect investment in an emerging or established business.

AI Analysis | Feedback

Analogy 1: Think of it as a publicly traded 'blank check' investment fund, whose only purpose is to acquire a private company and take it public.

Analogy 2: Like a publicly traded 'IPO vehicle' or 'fast track' for a private company to debut on the stock market.

Analogy 3: Essentially a publicly traded 'shell company' that's been pre-funded by investors, waiting to find a suitable private company to merge with and bring to the public market.

AI Analysis | Feedback

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AI Analysis | Feedback

As a blank check company, Corner Growth Acquisition Corp. 2 (symbol: TRON) does not have major customers in the traditional sense of selling products or services. Its primary purpose is to raise capital through an initial public offering (IPO) and then use that capital to acquire an existing private operating company.

Therefore, it does not generate revenue from the sale of goods or services to other companies or individuals, and consequently, it does not have customer categories to list.

AI Analysis | Feedback

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AI Analysis | Feedback

Here is the management team for Corner Growth Acquisition Corp. 2:

Xixuan Hei, Chief Executive Officer and Chief Financial Officer

Xixuan Hei, 31, has a background in finance, digital innovation, and legal-tech solutions. She founded Herr Gallery, a WebVR NFT platform, and holds advanced degrees in finance and business intelligence.

AI Analysis | Feedback

Here are the key risks to Corner Growth Acquisition Corp. 2 (symbol: TRON):
  1. Failure to Complete a Business Combination: As a blank check company, Corner Growth Acquisition Corp. 2's primary objective is to effect a merger, share exchange, asset acquisition, share purchase, reorganization, or similar business combination with one or more businesses. The company faces a significant risk if it fails to complete such a business combination within its stipulated timeframe, which could lead to its liquidation and the return of funds to shareholders, albeit without the potential for investment gains. The company has focused on completing a business combination by December 31, 2025, with failure resulting in cessation of operations and liquidation of the Trust Account to redeem public shares.
  2. Delisting from Nasdaq and Non-Compliance with Listing Requirements: Corner Growth Acquisition Corp. 2 has encountered difficulties in maintaining compliance with Nasdaq listing requirements. These issues have included the minimum public holders and publicly held shares requirements, which ultimately led to its delisting from Nasdaq in August 2024. Such delisting can significantly impair the company's ability to raise capital and maintain liquidity for its shares.
  3. Shareholder Redemptions and Reduced Available Funds: The company has experienced significant shareholder redemptions of its Class A ordinary shares in the past, which has directly impacted the number of shares outstanding and the funds available in its Trust Account. High redemption rates can limit the capital available for a potential business combination, making it more challenging to secure a desirable target and complete a merger.

AI Analysis | Feedback

One clear emerging threat for Corner Growth Acquisition Corp. 2 (TRON) is the **intensified regulatory environment and potential for new rules impacting SPACs**. The U.S. Securities and Exchange Commission (SEC) has proposed new regulations specifically for SPACs, aiming to increase investor protection, enhance disclosures, and potentially increase liability for sponsors. If these or similar rules are enacted, they could significantly increase the cost and complexity of launching and operating a SPAC, make the structure less attractive to private companies seeking to go public, and raise the bar for securing investor capital, thereby hindering Corner Growth Acquisition Corp. 2's ability to identify and complete a suitable merger.

Another clear emerging threat is the **deterioration of investor sentiment and market conditions for de-SPAC transactions**. Following a surge in SPAC activity, many companies that went public via SPAC mergers have experienced significant post-merger stock price declines. This trend has led to increased redemption rates by public shareholders and difficulty in securing Private Investment in Public Equity (PIPE) financing for new deals. This cooling of investor enthusiasm and challenging market conditions make it harder for Corner Growth Acquisition Corp. 2 to successfully complete a merger on favorable terms, as it reduces available capital and makes the SPAC route less appealing to high-quality private companies.

AI Analysis | Feedback

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AI Analysis | Feedback

The public company Tron (symbol: TRON) is expected to experience future revenue growth over the next 2-3 years driven by several key factors:
  • Growth of its Digital Asset Treasury Strategy: Tron Inc.'s strategy involves the strategic holding of TRON (TRX) tokens and Staked TRX (sTRX) as part of its digital asset treasury, aiming for long-term value creation and active participation in the broader TRON blockchain ecosystem.
  • Expansion of its Entertainment Merchandise Business: The company designs, develops, and manufactures custom merchandise, including toys and souvenirs, for major theme parks and entertainment venues, such as Walt Disney Parks and Resorts, Universal Studios, and SeaWorld. Revenue growth is anticipated through expanding existing partnerships, securing new clients, and launching new product lines.
  • Strategic Investments and Participation in the Blockchain Ecosystem: Positioned as an innovation leader in blockchain, Tron Inc. makes strategic investments in blockchain ecosystems. These investments are expected to generate returns and contribute to revenue growth.
  • Leveraging the Broader TRON Blockchain Ecosystem and DeFi Adoption: As the public company with significant holdings of TRON (TRX) tokens, Tron Inc. is poised to benefit from the overall growth and increased adoption of the TRON blockchain, as well as the expansion of decentralized finance (DeFi) principles within that ecosystem.

AI Analysis | Feedback

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Better Bets vs. Tron (TRON)

Peer Outperformance in Leisure Facilities

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Share of Leisure Facilities constituents that TRON has outperformed, by holding period. Peers without a full price history over a given window are excluded from that window.
1Y
0%
of 14 industry peers · -61.8% return
3Y
insufficient peer history
5Y
insufficient peer history
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Median price return by industry across the Consumer Discretionary sector, ranked by 5Y. Leisure Facilities is TRON's own industry. Use this to see which corners of the sector have carried the returns.
Industry Names 1Y med3Y med5Y med Top 3 by 5Y
Education Services 14 -11.0%90.6%69.9% LINC 280% · CVSA 257% · PRDO 224%
Homebuilding 18 -7.7%14.5%35.7% GRBK 182% · PHM 138% · TOL 131%
Automotive Retail 18 -16.0%1.3%14.2% MUSA 252% · PAG 176% · ORLY 128%
Hotels, Resorts & Cruise Lines 22 12.7%42.8%8.0% RCL 229% · MAR 158% · HLT 154%
Home Improvement Retail 5 -20.9%-8.6%6.9% HD 10% · LOW 7% · HVT 7%
Specialty Stores 7 -6.4%22.4%1.8% FIVE 30% · DKS 9% · HZO 7%
Distributors 4 -10.3%-26.1%-9.1% ARMK 136% · GPC 26% · LKQ -44%
Restaurants 33 -9.6%-12.7%-11.7% EAT 346% · CAKE 161% · RAVE 141%
Specialized Consumer Services 10 -12.8%25.0%-15.3% HRB 130% · FTDR 81% · SCI 38%
Footwear 9 46.7%26.6%-16.8% WEYS 150% · DECK 25% · SHOO 15%
Home Furnishings 4 -9.5%13.7%-18.4% SGI 47% · LZB 0% · MHK -37%
Apparel Retail 25 -0.6%-2.3%-29.1% ANF 300% · DXLG 186% · URBN 141%
Leisure Products 13 -20.3%-24.4%-31.7% GOLF 86% · HAS 15% · MCFT -11%
Casinos & Gaming 20 -13.2%-30.6%-34.3% MCRI 100% · RSI 72% · RRR 49%
Leisure Facilities ← 11 -4.2%-12.0%-35.7% OSW 125% · JAKK 92% · ESCA 9%
Automotive Parts & Equipment 38 -8.8%-10.9%-38.7% MOD 1370% · GTX 286% · STRT 84%
Apparel, Accessories & Luxury Goods 27 -6.3%-9.2%-40.1% TPR 242% · RL 221% · ELA 221%
Household Appliances 18 8.4%34.3%-42.0% KEQU 181% · FLXS 152% · HBB 107%
Broadline Retail 15 5.3%11.5%-56.3% DDS 310% · EBAY 50% · AMZN 47%
Computer & Electronics Retail 3 -16.1%2.1%-61.9% BBY -11% · UPBD -62% · GME -65%
Automobile Manufacturers 8 -63.6%-51.7%-71.8% GM 82% · TSLA 46% · F 45%
Other Specialty Retail 18 -34.4%-50.2%-79.0% TLF 111% · BBW 102% · WINA 83%
Consumer Electronics 11 -10.7%-12.7%-80.9% AXIL 2624% · GRMN 73% · TBCH -58%
Median of constituents with a full price history over each window. Top names are unfiltered by size in this render.

Recent Active Movers

Peer Comparisons

Peers to compare with:

Financials

TRONFUNASLTHPLNTOSWMedian
NameTron Six Flag.Amer Spo.Life TimePlanet F.OneSpaWo. 
Mkt Price1.6414.24-41.8350.4722.2422.24
Mkt Cap0.81.4-9.33.92.32.3
Rev LTM53,058-3,1821,4091,0101,409
Op Inc LTM-2281-55043696281
FCF LTM-2150--1512627878
FCF 3Y Avg-240--672177040
CFO LTM-2471-89943496434
CFO 3Y Avg-2389-70037680376

Growth & Margins

TRONFUNASLTHPLNTOSWMedian
NameTron Six Flag.Amer Spo.Life TimePlanet F.OneSpaWo. 
Rev Chg LTM19.7%-3.5%-12.7%12.7%9.8%12.7%
Rev Chg 3Y Avg-3.3%23.2%-16.0%10.9%12.3%12.3%
Rev Chg Q16.8%-7.0%-13.7%7.1%8.5%8.5%
QoQ Delta Rev Chg LTM4.7%-2.1%-3.4%1.8%2.1%2.1%
Op Inc Chg LTM35.2%100.3%-38.5%23.5%17.5%35.2%
Op Inc Chg 3Y Avg-513.0%15.7%-35.7%19.5%29.3%19.5%
Op Mgn LTM-44.6%9.2%-17.3%30.9%9.5%9.5%
Op Mgn 3Y Avg-73.4%10.7%-14.3%28.6%8.8%10.7%
QoQ Delta Op Mgn LTM6.4%1.1%-0.8%1.0%0.0%1.0%
CFO/Rev LTM-44.2%15.4%-28.3%30.8%9.5%15.4%
CFO/Rev 3Y Avg-45.5%15.2%-24.6%29.9%8.6%15.2%
FCF/Rev LTM-44.2%4.9%--4.7%18.6%7.7%4.9%
FCF/Rev 3Y Avg-47.4%2.5%--2.5%17.2%7.5%2.5%

Valuation

TRONFUNASLTHPLNTOSWMedian
NameTron Six Flag.Amer Spo.Life TimePlanet F.OneSpaWo. 
Mkt Cap0.81.4-9.33.92.32.3
P/S152.40.5-2.92.82.22.8
P/Op Inc-341.55.2-16.98.923.78.9
P/EBIT84.2-1.1-16.98.525.216.9
P/E112.4-0.9-22.416.328.022.4
P/CFO-344.73.1-10.49.023.89.0
Total Yield0.9%-117.4%-4.5%6.1%4.4%4.4%
Dividend Yield0.0%0.0%-0.0%0.0%0.9%0.0%
FCF Yield 3Y Avg----1.4%3.9%3.3%3.3%
D/E0.03.6-0.50.80.00.5
Net D/E-0.03.5-0.40.70.00.4

Returns

TRONFUNASLTHPLNTOSWMedian
NameTron Six Flag.Amer Spo.Life TimePlanet F.OneSpaWo. 
1M Rtn17.1%-17.8%--7.3%-9.7%-13.5%-9.7%
3M Rtn-14.1%-31.2%-30.1%-5.3%-6.5%-6.5%
6M Rtn19.7%-14.8%-59.9%-39.1%6.9%6.9%
12M Rtn-61.8%-37.2%-49.8%-51.8%-0.6%-37.2%
3Y Rtn-74.7%-74.1%-143.2%-18.1%97.3%-18.1%
1M Excs Rtn8.9%-19.6%--5.7%-10.7%-15.9%-10.7%
3M Excs Rtn-14.4%-31.5%-29.8%-5.6%-6.8%-6.8%
6M Excs Rtn7.8%-26.7%-47.9%-51.0%-5.1%-5.1%
12M Excs Rtn-79.9%-55.4%-31.7%-70.0%-18.7%-55.4%
3Y Excs Rtn-147.9%-147.3%-81.5%-89.1%32.1%-89.1%

Comparison Analyses

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Financials

Segment Financials

Revenue by Segment
$ Mil2025202420232022
Revenue from Toy sales54  
Design, manufacture, and sale of toys to premier theme parks  6 
Single Segment   6
Total5466


Net Income by Segment
$ Mil20252024
Toy business & Digital assets-17-4
Total-17-4


Price Behavior

Price Behavior
Market Price$1.64 
Market Cap ($ Bil)0.8 
First Trading Date08/11/2021 
Distance from 52W High-61.9% 
   50 Days200 Days
DMA Price$3.28$6.44
DMA Trenddowndown
Distance from DMA-50.0%-74.5%
 3M1YR
Volatility85.9%117.2%
Downside Capture272.02361.99
Upside Capture196.83179.07
Correlation (SPY)15.7%26.2%
TRON Betas & Captures as of 8/31/2026

 1M2M3M6M1Y3Y
Beta1.531.380.981.132.39-0.36
Up Beta-2.22-0.99-0.70-0.911.33-1.55
Down Beta-17.49-1.38-0.181.022.46-0.05
Up Capture772%366%185%265%267%43%
Bmk +ve Days10213268138427
Stock +ve Days11222858104115
Down Capture468%275%218%167%185%109%
Bmk -ve Days11213259113324
Stock -ve Days8183364139163

[1] Upside and downside betas calculated using positive and negative benchmark daily returns respectively
Based On 1-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with TRON
TRON-61.9%116.9%-0.30-
Sector ETF (XLY)-0.5%19.4%-0.1520.8%
Equity (SPY)19.2%12.8%1.1026.3%
Gold (GLD)24.8%29.2%0.7613.0%
Commodities (DBC)44.0%20.4%1.674.0%
Real Estate (VNQ)8.5%13.7%0.358.9%
Bitcoin (BTCUSD)-27.6%43.5%-0.6243.1%

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Based On 5-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with TRON
TRON-24.0%127.3%-0.39-
Sector ETF (XLY)5.6%24.1%0.1920.9%
Equity (SPY)12.7%17.2%0.5626.4%
Gold (GLD)18.7%18.7%0.8110.1%
Commodities (DBC)11.0%19.5%0.443.8%
Real Estate (VNQ)2.0%18.9%-0.007.9%
Bitcoin (BTCUSD)10.5%52.6%0.3839.7%

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Based On 10-Year Data
Annualized
Return
Annualized
Volatility
Sharpe
Ratio
Correlation
with TRON
TRON-12.8%127.3%-0.39-
Sector ETF (XLY)12.0%22.2%0.5020.9%
Equity (SPY)15.1%17.9%0.7226.4%
Gold (GLD)12.0%16.3%0.6010.1%
Commodities (DBC)7.9%18.1%0.353.8%
Real Estate (VNQ)4.9%20.7%0.207.9%
Bitcoin (BTCUSD)63.2%66.1%1.0339.7%

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Short Interest

Short Interest: As Of Date8142026
Short Interest: Shares Quantity7.9 Mil
Short Interest: % Change Since 73120262.8%
Average Daily Volume0.4 Mil
Days-to-Cover Short Interest18.8 days
Basic Shares Quantity470.2 Mil
Short % of Basic Shares1.7%

Earnings Returns History

Updated 6/2/2026
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 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
SUMMARY STATS   
# Positive000
# Negative000
Median Positive   
Median Negative   
Max Positive   
Max Negative   
Collapse to Preview
 Forward Returns
Earnings Date1D Returns5D Returns21D Returns
SUMMARY STATS   
# Positive000
# Negative000
Median Positive   
Median Negative   
Max Positive   
Max Negative   

SEC Filings

Expand for More
Report DateFiling DateFiling
06/30/202608/11/202610-Q
03/31/202605/08/202610-Q
12/31/202503/25/202610-K
09/30/202511/10/202510-Q
06/30/202508/08/202510-Q
03/31/202505/09/202510-Q
12/31/202403/31/202510-K
09/30/202411/13/202410-Q
06/30/202408/12/202410-Q
03/31/202405/10/202410-Q
12/31/202304/01/202410-K
09/30/202311/13/202310-Q
06/30/202310/03/202310-Q
03/31/202305/26/2023S-1
Collapse to Preview
Report DateFiling DateFiling
06/30/202608/11/202610-Q
03/31/202605/08/202610-Q
12/31/202503/25/202610-K
09/30/202511/10/202510-Q
06/30/202508/08/202510-Q
03/31/202505/09/202510-Q
12/31/202403/31/202510-K
09/30/202411/13/202410-Q
06/30/202408/12/202410-Q
03/31/202405/10/202410-Q
12/31/202304/01/202410-K
09/30/202311/13/202310-Q
06/30/202310/03/202310-Q
03/31/202305/26/2023S-1

Insider Activity

Updated 4/26/2026
Expand for More
#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Melton, ChristopherDirectSell82820255.0615,00075,900160,999Form
2McKinnon, Douglas OChief Financial OfficerDirectSell70320257.39122,000901,3802,337,589Form
3McDaniel-Hand, Deborah LynnVP of Production DevelopmentDirectSell62520259.41100,000941,000941,000Form
4Miller, Richard AChief Executive OfficerDirectSell624202511.19100,0001,119,2606,715,560Form
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#OwnerTitleHoldingActionFiling DatePriceSharesTransacted
Value
Value of
Held Shares
Form
1Melton, ChristopherDirectSell82820255.0615,00075,900160,999Form
2McKinnon, Douglas OChief Financial OfficerDirectSell70320257.39122,000901,3802,337,589Form
3McDaniel-Hand, Deborah LynnVP of Production DevelopmentDirectSell62520259.41100,000941,000941,000Form
4Miller, Richard AChief Executive OfficerDirectSell624202511.19100,0001,119,2606,715,560Form
Core Cache Last Updated: 9/1/2026