Floor & Decor Stock To $57?

FND: Floor & Decor logo
FND
Floor & Decor

Floor & Decor (FND) stock has fallen by 21.8% in less than a month, from $72.60 on 27th Oct, 2025 to $56.79 now. What comes next? We think that he stock could fall even more. The current correction, when put in context of our Unattractive opinion of the stock, suggest possibility of further downside. A price of $57 is not out of question, especially considering that the stock has seen this level in the last 5 years. Read Buy or Sell Floor & Decor Stock to see how we arrive at this opinion.

So should you wait before buying this dip? Perhaps. There is no perfect way to time the dips. Nevertheless, here is another perspective on FND stock to help you make the decision. Historically, the median return for the 12-month period following sharp dips was 108%, with median peak return reaching 141%. We define sharp dip as stock going down 30% or more, in less than 30 day period.

Below, we get into details of historical dips and subsequent returns.

 
Historical Median Returns Post Dips
 

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Period Past Median Return
1M 11.1%
3M 48.9%
6M 73.8%
12M 107.9%

 
Historical Dip-Wise Details
 
FND had 2 events since 1/1/2010 where the dip threshold of -30% within 30 days was triggered

  • 141% median peak return within 1 year of dip event
  • 242 days is the median time to peak return after a dip event
  • -13% median max drawdown within 1 year of dip event

30 Day Dip FND Subsequent Performance
Date FND SPY 1Y Peak
Return
Max
Drop
# Days
to Peak
Median     108% 141% -13% 242
4082025 -30% -16% -14% 29% -16% 156
3162020 -39% -25% 230% 253% -9% 329

 
Floor & Decor Passes Basic Financial Quality Checks

Revenue growth, profitability, cash flow, and balance sheet strength need to be evaluated to reduce the risk of a dip being the sign of a deteriorating business situation.

Quality Metrics Value Quality Check
Revenue Growth (LTM) 4.9% Pass
Revenue Growth (3-Yr Avg) 5.7% Pass
Operating Cash Flow Margin (LTM) 9.1% Pass
Leverage (see below) Pass
=> Interest Coverage Ratio 97.8  
=> Cash To Interest Expense Ratio 63.6  

Not sure if you can take a call on FND stock? Consider portfolio approach

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Single stocks swing wildly but staying invested matters. A well built portfolio keeps you invested, captures upside and softens the blows from individual stocks

The Trefis High Quality (HQ) Portfolio, with a collection of 30 stocks, has a track record of comfortably outperforming its benchmark that includes all 3 – the S&P 500, S&P mid-cap, and Russell 2000 indices. Why is that? As a group, HQ Portfolio stocks provided better returns with less risk versus the benchmark index; less of a roller-coaster ride, as evident in HQ Portfolio performance metrics.