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LAMR

Lamar Advertising Company NMS · LAMR

$158.91 -1.16 (-0.72%)
Neutral · +0.32σ Grade C
Mkt cap $16.1B
P/E 29.5
Day $156.83 – $160.22
52wk $122.31 – $164.38
Avg vol 0.6M
Beta 1.22
Div yld 4.00%
Next earnings 2026-08-06

Quick read

At a glance

Lamar Advertising Company is one of the largest outdoor advertising companies in North America, with over 362,000 displays across the United States and Canada.

LAMR last traded at $158.91, down 0.7% on the day; that's in the upper part of its 52-week range ($122.31–$164.38). Right now it's trading close to its recent average, with no strong stretch in either direction.

The next scheduled earnings report (2026-08-06) is the biggest known catalyst on the calendar, and day to day, watch whether it holds above or slips below its recent average.

A quick snapshot built from the data on this page — not investment advice. Always do your own research.

Today's read

Grading desk →

Price is sitting close to its normal range — no real dip to buy yet. Plus a hammer candle — sellers pushed price down and buyers pushed it right back up.

Long C
Setup score 31 / 100
Price is sitting close to its normal range — no real dip to buy yet. Hammer candle.
  • · Hammer candle — long lower wick rejection
  • · Aligned with strong uptrend (strong tailwind)
Technical read: above KC1 lower, +0.27 ATR from EMA21 · hammer
What it means: Price is sitting close to its normal range — no real dip to buy yet. The trigger bar shows a hammer candle — sellers pushed price down and buyers pushed it right back up.
Score split: chart signals 31 / 80 · news & fundamentals checks 0 / 20 — chart signals carry most of the grade.
How this grade was earned
total 31 pts
Cycle position 6
Candle signal 15
Market fit 10

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

Short
Setup score 12 / 100
Price is sitting close to its normal range — not meaningfully overheated yet.
  • · RSI hook from overbought (55)
  • · Counter-trend short in strong uptrend
Technical read: below KC1 upper, +0.27 ATR from EMA21 · no notable pattern
What it means: Price is sitting close to its normal range — not meaningfully overheated yet. The trigger bar shows no standout candle signal yet.
Score split: chart signals 12 / 80 · news & fundamentals checks 0 / 20 — chart signals carry most of the grade.
How this grade was earned
total 12 pts
Cycle position 6
Momentum 6

Each bar shows how many points that factor added. The more points — and the more factors that agree — the higher the letter grade.

132-Day Trend Zones

Full chart →
21 EMA +1 ATR +2 ATR −2 ATR
O H L C

Under the hood

On the latest daily bar, momentum sits mid-range (RSI 55), the trend is strong (ADX 27), and trading is light at 0.6× normal volume. On the business side, revenue is growing 4% year over year and the business keeps about 24 cents of every sales dollar as free cash.

Latest-bar indicator readings behind the grade — display-only, they don't move the letter.

Momentum · RSI
55
0–100 · <30 oversold
Trend strength · ADX
27
>25 = strong trend
Volume vs avg
0.59×
1× = average
Stretch from avg
+0.3 ATR
− below · + above
Zone touches
0
tests of this zone
Suggested hold
3–30
bars (≈ days)
Fundamentals at a glance

Company fundamentals for context — display-only, they don't move the grade.

Revenue growth
+4.4%
year over year
Free-cash-flow margin
23.9%
cash kept per $ of sales
Debt / equity
5.05
lower = less leveraged
P/E ratio
29.9
price ÷ yearly profit

Valuation & accounting

Valuation desk →

Our cash-flow model pegs fair value near $48.83 (fair range $49–$124); today's price sits 231% above that estimate. The model's verdict is “Overvalued” and accounting quality screens as Weak. Model estimates only — do your own due diligence.

Overvalued -231% margin of safety Accounting: Weak
Intrinsic (DCF)
$48.83
Fair-value range
$48.83 – $124.27
Margin of safety
-231%
Accounting quality Weak
  • ✓ Gross margin 67% (pricing power)
  • ✓ Net margin 24%
  • ⚠ Debt exceeds cash
  • ⚠ Quick ratio 0.48 (fragile)
  • ⚠ Current ratio 0.58 (fragile)
  • ⚠ Debt/equity 5.84 (fragile)

Price implies ~17% growth (vs trailing rev yoy). Model estimate — do your own due diligence.

Key statistics

All statistics →

LAMR is a $16.1 billion company, priced at 29× last year's earnings, and the stock is trading near the top of its 52-week range.

Market cap $16.1B
P/E ttm 29.5
Beta 1.22
52w range $122.31 – $164.38
Avg volume 0.6M
Dividend yield 4.00%
Sector Real Estate
Next earnings 2026-08-06
52-week range · today's price
$122.31$164.38

More on LAMR

Options idea

See more →
CALL $160 2026-08-21
$4.83
PUT $160 2026-08-21
$4.75

Earnings

See more →
Last reported
2026-05-07
EPS (act / est)
0.88 / 0.84
Surprise
+4.7%
Next report
2026-08-06

About

Lamar Advertising Company is one of the largest outdoor advertising companies in North America, with over 362,000 displays across the United States and Canada. Lamar offers advertisers a variety of billboards, interstate logo, transit and airport advertising formats, helping both local businesses and national brands reach broad audiences every day. In addition to its more tradi…