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Fiscal Wizard · Single-issue tearsheet

VHI / Jun 21, 2026 Run #7276

VHI

Valhi, Inc.

Valhi, Inc. engages in the chemicals, component products, and real estate management and development businesses in Europe, North America, the Asia Pacific, and internationally. The Chemicals segment produces and markets titanium dioxide pigments (TiO2), which are white inorganic pigments used in various applications by paint, plastics, paper, fibers and ceramics, decorative laminate, and paper manufacturers. This segment also provides TiO2 under the KRONOS name through agents and distributors. The Component Products segment manufactures mechanical and electrical cabinet locks, and other locking mechanisms for use in mailboxes, ignition systems, file cabinets, desk drawers, tool storage cabinets, medical cabinetry security, integrated inventory and access control secured narcotics boxes, electronic circuit panels, storage compartments, gas station security, and vending and cash containment machine applications. This segment also provides stainless steel exhaust components, gauges, throttle controls, wake enhancement systems, trim tabs, and related hardware and accessories primarily for performance and ski/wakeboard boats. The Real Estate Management and Development segment offers utility services to industrial customers; owns real properties; and develops land holdings for commercial, industrial, and residential purposes. This segment also holds marketable securities and other investments. The company was incorporated in 1932 and is based in Dallas, Texas. Valhi, Inc. is a subsidiary of Dixie Rice Agricultural L.L.C.

Composite verdict

F 23.4 / 100
Bearish setup · Reversal 9 drivers · 5 gates blocking
  • Rate of Change
  • Parabolic SAR Flip
  • Accumulation/Distribution Line
Consider long put target Δ ~0.70 · ~35 DTE Bearish setup, Grade A → ITM put target

Industry rank 9th of 18 in Chemicals

rescore-sweep
Technical synthesisRegime: range
Bull 0%Evidence: High · 16 signals100% Bear
Momentum Bearish 9Mean-reversion Neutral 47

No notable composite patterns — the signals don't cluster into a named setup right now.

Where value comes fromMargin of safety +155%
Asset value $36.15Earnings power value $6.32Price $13.53

The discount is mostly unpriced earnings power: price ($13.53) sits between asset value ($36.15) and no-growth earnings power value ($6.32).

Fundamentals Mixed

45.8 / 100

Score-bearing fundamentals shown here exclude gate-only risk checks. · 35 metrics shown.

Strongest
Weakest
Margin of Safety 100
Free Cash Flow Yield 0
Forward P/E 81
Revenue Growth (YoY) 0
Capex to Sales 75
EPS Growth (YoY) 0

Technicals Bearish

0.9 / 100

Bearish setup leads (Rate of Change, Parabolic SAR Flip, Accumulation/Distribution Line); bulls gated by guards. · 43 signals shown.

Strongest
Weakest
Rate of Change 8
Accumulation/Distribution Line 8
Parabolic SAR Flip 11

Risk Gates

5 blocking 4 caution

5 guards active, 24 signals gated.

Altman Z-Score Blocking

Bottom-band Altman Z blocks bullish signals — distress risk.

Interest Coverage Blocking

Weak interest coverage blocks bullish signals — debt-service risk.

Net Debt / EBITDA Blocking

High net debt / EBITDA blocks bullish signals — credit-leverage risk.

ADX Trend Weakness Blocking

Weak trend strength blocks trend-following signals in either direction.

Breakdown

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Every chip in either subscore card drills into the metrics or signals that fed it — including the formula, the threshold band, and what the current reading means for VHI.