

Hooker Furnishings vs Red Robin
Hooker Furnishings and Red Robin are compared on this page to provide a straightforward view of their business models, financial performance, and market context. The aim is to present information in a neutral, accessible manner, outlining how each company operates and the factors shaping its position within the sector. Educational content, not financial advice.
Hooker Furnishings and Red Robin are compared on this page to provide a straightforward view of their business models, financial performance, and market context. The aim is to present information in a...
Investment Analysis
Pros
- Hooker Furnishings maintains a strong liquidity position with a current ratio of 2.99 and a very low debt-to-equity ratio of 0.03, indicating minimal financial leverage.
- The company offers an attractive dividend yield of approximately 8.42%, providing income stability despite earnings challenges.
- Hooker is focusing on operational efficiency improvements by exiting leases in Savannah and Vietnam, which is expected to reduce costs and optimize its footprint.
Considerations
- Hooker Furnishings has experienced declining revenues, with a 13.6% drop in Q2 2025 and an overall revenue decrease nearing 4% year-over-year recently.
- The company is unprofitable with a negative net income of about $11.62 million trailing twelve months and a negative EPS of -1.10.
- Analyst sentiment is weak, with ratings ranging from Hold to Sell and a consensus 'Reduce' rating, reflecting concerns about its near-term performance.

Red Robin
RRGB
Pros
- Red Robin has analyst support with a consensus Strong Buy rating and a substantial 12-month price target uplift of around 68%.
- The company operates a well-established casual dining brand in North America with diversified menu offerings beyond burgers, including salads, cocktails, and desserts.
- Red Robin has a broad franchise and company-operated restaurant base, enabling potential growth and market penetration across North America.
Considerations
- Red Robin reported a revenue decline of over 4% in 2024 and significant heightened losses of $77.5 million, indicating operational challenges and profitability pressure.
- The stock exhibits high volatility with a beta of 2.46 and negative earnings per share, reflecting elevated market and business risks.
- Despite strong analyst ratings, the company’s market capitalization is relatively low around $90 million, suggesting limited scale and possible liquidity issues.
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