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Boss Holdings

BSHI
26
Apparel - Footwear & Accessories · Consumer Cyclical
Price
$14.55
+0.00 (+0.00%)
Market Cap
$30.6M
Winston Score
26
Winston is worried
Below-average fundamentals — multiple weak pillars.

Share count falling — buybacks

18.5% over 4y

The company has reduced its share count over this period, returning value to shareholders through buybacks.

Diluted shares outstanding: 2.0M (2021) → 1.6M (2025)

Boss Holdings, Inc. is a small consumer goods company that sells work gloves, protective gear, and outdoor accessories. Its products are designed for people who work with their hands — like farmers, construction workers, and gardeners. The company sells through hardware stores, farm supply retailers, and similar channels across the United States.

Boss Holdings earns money by selling its products wholesale to retailers, who then sell them to end customers. It operates primarily in the U.S. market and, with a market cap near zero, is a very small player in a crowded industry filled with larger competitors. The company currently loses money at the operating level, and its main challenge is improving margins — at roughly 26% gross margin, it has limited room to cover overhead costs, meaning any drop in sales or rise in input costs could deepen losses.

Winston Score History

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

-13.7% YoY

YoY Growth Rate

Revenue declining

EPS Growth

-66.7% YoY

YoY Growth Rate

Earnings declining

R&D Spend

$0/ year

0.0% of revenue

Below sector average (4%)

Research and development spending

Insider Activity

62.2%ownership

Flat

Insiders holding steady — not selling despite ability to

Cash Position

Cash flow positive

$9M cash & investments

Quarterly Free Cash Flow

↑ Burn rate improving

Company generates more cash than it spends — no dilution risk from fundraising

Revenue declining

Boss Holdings's revenue is actually shrinking. In a growth stock, that removes the core investment thesis. The low Winston Score here may be warranted — unless there's a turnaround story.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Score breakdown

Every number that matters to educated investors.

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Quality

Gross Margin
25.1%
Modest — 25.1% gross margin
Operating Margin
-7.0%
Losing money on operations — -7.0%
ROCE
-1.6%
Weak — -1.6% return on capital

Negative ROIC means the business is losing money on every dollar invested in it.

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Growth

Sales YoY
-8.5%
Shrinking sales (-8.5% YoY)
EPS YoY
N/A
Data not available
EPS Consistency
2/8 quarters
Earnings rarely grow — volatile business

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Cash Flow

Cash Conversion
N/A
Data not available
FCF Margin
10.0%
Modest free cash flow (10.0%)

FCF margin between 0% and 10%. Some cash from sales, but not a lot.

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Stability

Debt / Equity
0.01
Conservative — low debt load (0.01)
Interest Cover
N/A
Data not available

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Valuation

P/E Ratio (TTM)
N/M
Negative earnings — P/E not meaningful
P/E vs Forward
N/A
not available
Data not available

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Dividends

Dividend Yield
6.87%
Healthy income — 6.87% yield

Yield above 6% — often a flag the market is pricing in a cut.

Dividend Growth
N/A
no trend
Data not available

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