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UPSIDE: 4.42%
AlphaQuality

AlphaQuality

Quantitative six-pillar business-quality grade

Banks, Insurers & Asset Managers

AlphaQuality — archetype-weighted quantitative grade

B- 62.3 / 100 composite

Composite Grade

Composite of six pillars weighted for banks, insurers & asset managers businesses. Purely quantitative — no stock price or analyst input.

Profitability

Weight: 25%
C 55.9

Scored using ROA (NIM proxy) — financial-archetype substitution.

  • 5yr Avg ROA 1.2% 80/100
  • Operating Margin Trend -2.35 pp/yr 0/100
Contributes 14.0 pts toward composite.

Capital Efficiency

Weight: 20%
C- 47.9

Scored using ROTCE — financial-archetype substitution.

  • 5yr Avg ROTCE 10.7% 68/100
  • 5yr Share-Count CAGR 5.5% 0/100
Contributes 9.6 pts toward composite.

Growth Quality

Weight: 10%
A+ 97.0

Scored using BVPS — financial-archetype substitution.

  • 5yr BVPS CAGR 19.6% 100/100
  • 5yr EPS CAGR 17.5% 91/100
  • Positive-EPS Years (5) 5/5 100/100
Contributes 9.7 pts toward composite.

Cash Generation

Weight: 5%
D- 32.6

Scored using OCF/NI — banks have no FCF concept.

  • 5yr OCF/NI 0.43x 33/100
Contributes 1.6 pts toward composite.

Balance Sheet

Weight: 30%
B 71.6

Scored using Equity/Assets — financial-archetype substitution.

  • Equity / Assets 13.1% 89/100
  • Interest Coverage (EBIT/Int) 2.13x 30/100
Contributes 21.5 pts toward composite.

Stability

Weight: 10%
C+ 59.1
  • EPS Volatility (σ/μ) 0.49 31/100
  • Piotroski F-Score 6 67/100
  • Negative-Revenue Years (5) 0/5 100/100
Contributes 5.9 pts toward composite.

Guru Flow

Curated superinvestor sentiment — not part of the AlphaQuality grade.
Not Followed

Not held by any curated guru.

How this is calculated

AlphaQuality grades six pillars from 0-100 and weights each by archetype:

  • Profitability (25%) — 5yr Avg ROA, Operating Margin Trend
  • Capital Efficiency (20%) — 5yr Avg ROTCE, 5yr Share-Count CAGR
  • Growth Quality (10%) — 5yr BVPS CAGR, 5yr EPS CAGR, Positive-EPS Years (5)
  • Cash Generation (5%) — 5yr OCF/NI
  • Balance Sheet (30%) — Equity / Assets, Interest Coverage (EBIT/Int)
  • Stability (10%) — EPS Volatility (σ/μ), Piotroski F-Score, Negative-Revenue Years (5)

We deliberately ignore stock price, analyst targets, and consensus ratings so the grade is suitable for backtesting forward returns. A minimum of 5 fiscal years of audited statements is required; distressed and highly leveraged infrastructure businesses are declared ungradable rather than forced into a numeric score.