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TRCK · Track Group, Inc.
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TEAM+1.89% 144 FILEDMETA-1.84% 144 FILEDRCG-0.67% CLUSTERUTHR+5.44% 144 FILEDCRWV+1.38% 144 FILEDCRM+1.89% CONGRESSCVNA-1.70% 144 FILEDDELL-0.30% 144 FILEDTPL-0.87%NET-1.41% 144 FILEDMSTR-1.02% 144 FILEDCRWD+0.77% 144 FILEDANET+0.44% 144 FILEDCOIN-1.90% 144 FILEDTEAM+1.89% 144 FILEDMETA-1.84% 144 FILEDRCG-0.67% CLUSTERUTHR+5.44% 144 FILEDCRWV+1.38% 144 FILEDCRM+1.89% CONGRESSCVNA-1.70% 144 FILEDDELL-0.30% 144 FILEDTPL-0.87%NET-1.41% 144 FILEDMSTR-1.02% 144 FILEDCRWD+0.77% 144 FILEDANET+0.44% 144 FILEDCOIN-1.90% 144 FILED
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TRCK

Track Group, Inc.
TECH HARDWARE · COMMUNICATIONS EQUIPMENT, NEC · CIK 0001045942
ACTIVIST 13D☆ WATCH
INSIDER NET · 180D
$230.4K
open-market buys minus sells, Form 4 codes P and S
INSIDER BUYERS · 180D
1
CONGRESS BUYERS · 1Y
0
FUNDS ADDED · QTR
0
13F, latest reported quarter
REVENUE GROWTH
-4.5%
XBRL, annual
NET MARGIN
-5.3%
RATIOS · FROM THE COMPANY'S OWN XBRL FILINGS · LATEST FILINGS
REVENUE, TTM
$36.3M
four quarters, 2025-07-01 to 2026-06-30
Yearly / quarterly
FY Sep 2025$35.2M
FY Sep 2024$36.9M
FY Sep 2023n/a
FY Sep 2022$37.0M
FY Dec 2021$39.9M
Jun 2026$9.1M
Mar 2026$8.9M
Dec 2025$9.1M
Sep 2025$9.1M
Jun 2025$9.1M
Mar 2025$8.4M
Dec 2024$8.7M
Sep 2024$9.7M
at each fiscal year end
single quarter
NET MARGIN, TTM
+59.2%
net income over revenue, 2025-07-01 to 2026-06-30
Yearly / quarterly
FY Sep 2025-5.3%
FY Sep 2024-8.4%
FY Sep 2023n/a
FY Sep 2022-20.0%
FY Dec 2021n/a
Jun 2026+247.0%
Mar 2026-8.0%
Dec 2025+5.6%
Sep 2025-8.7%
Jun 2025+15.8%
Mar 2025-6.2%
Dec 2024-23.2%
Sep 2024-3.2%
at each fiscal year end
single quarter
FREE CASH FLOW, TTM
$3.7M
operating cash flow minus capex, 2025-07-01 to 2026-06-30
Yearly / quarterly
FY Sep 2025$1.6M
FY Sep 2024$3.4M
FY Sep 2023$373.3K
FY Sep 2022-$1.3M
FY Dec 2021$2.8M
Jun 2026$766.8K
Mar 2026$2.3M
Dec 2025$576.3K
Sep 2025$38.5K
Jun 2025$2.2M
Mar 2025$138.2K
Dec 2024-$724.3K
Sep 2024$3.2M
at each fiscal year end
single quarter
DEBT TO EQUITY
1.07x
long-term 2026-06-30 plus current 2026-06-30; equity 2026-06-30
Yearly / quarterly
FY Sep 2025n/a
FY Sep 2024n/a
FY Sep 2023n/a
FY Sep 2022n/a
FY Dec 202121.39x
Jun 20261.07x
Mar 2026n/a
Dec 2025n/a
Sep 2025n/a
Jun 2025n/a
Mar 2025n/a
Dec 2024n/a
Sep 2024n/a
at each fiscal year end
trailing four quarters at each quarter end
CASH FLOW TO DEBT
0.33x
TTM operating cash flow over long-term 2026-06-30 plus current 2026-06-30
Yearly / quarterly
FY Sep 20250.10x
FY Sep 20240.11x
FY Sep 20230.09x
FY Sep 20220.02x
FY Dec 20210.13x
Jun 20260.33x
Mar 20260.18x
Dec 20250.13x
Sep 20250.10x
Jun 20250.15x
Mar 20250.07x
Dec 20240.09x
Sep 20240.11x
at each fiscal year end
trailing four quarters at each quarter end
RETURN ON EQUITY
+818.5%
TTM net income over average of 2025-06-30 and 2026-06-30
Yearly / quarterly
FY Sep 2025n/a
FY Sep 2024n/a
FY Sep 2023n/a
FY Sep 2022n/a
FY Dec 2021n/a
Jun 2026+818.5%
Mar 2026n/a
Dec 2025n/a
Sep 2025n/a
Jun 2025n/a
Mar 2025n/a
Dec 2024n/a
Sep 2024n/a
at each fiscal year end
trailing four quarters at each quarter end
RETURN ON ASSETS
+51.8%
TTM net income over average of 2025-06-30 and 2026-06-30
Yearly / quarterly
FY Sep 2025-4.8%
FY Sep 2024-7.9%
FY Sep 2023-8.0%
FY Sep 2022-15.1%
FY Dec 2021n/a
Jun 2026+51.8%
Mar 2026+1.2%
Dec 2025+1.7%
Sep 2025-4.8%
Jun 2025-3.6%
Mar 2025-9.7%
Dec 2024-13.0%
Sep 2024-7.9%
at each fiscal year end
trailing four quarters at each quarter end
RETURN ON INVESTED CAPITAL
+15.2%
operating income after a 0.4% effective tax rate, over long-term 2026-06-30 plus current 2026-06-30 plus average of 2025-06-30 and 2026-06-30 minus cash
Yearly / quarterly
FY Sep 2025n/a
FY Sep 2024n/a
FY Sep 2023n/a
FY Sep 2022n/a
FY Dec 2021+7.5%
Jun 2026+15.2%
Mar 2026+8.9%
Dec 2025+7.3%
Sep 2025n/a
Jun 2025n/a
Mar 2025n/a
Dec 2024n/a
Sep 2024n/a
at each fiscal year end
trailing four quarters at each quarter end
RETURN ON CAPITAL EMPLOYED
+5.2%
operating income (EBIT proxy) over average of 2025-06-30 and 2026-06-30 minus current liabilities
Yearly / quarterly
FY Sep 2025+4.0%
FY Sep 2024-5.7%
FY Sep 2023-4.2%
FY Sep 2022-5.0%
FY Dec 2021+10.1%
Jun 2026+5.2%
Mar 2026+7.3%
Dec 2025+6.0%
Sep 2025+4.0%
Jun 2025+2.2%
Mar 2025-1.8%
Dec 2024-4.7%
Sep 2024-5.7%
at each fiscal year end
trailing four quarters at each quarter end
P/E, TRAILING
n/a
trailing loss, a multiple of a loss is not meaningful
Yearly / quarterly
FY Sep 2025n/a
FY Sep 2024n/a
FY Sep 2023n/a
FY Sep 20220.80x
FY Dec 202115.20x
Jun 2026n/a
Mar 2026n/a
Dec 2025n/a
Sep 2025n/a
Jun 2025n/a
Mar 2025n/a
Dec 2024n/a
Sep 2024n/a
at each fiscal year end
trailing four quarters at each quarter end
ENTERPRISE VALUE
$28.3M
market value at close 2026-10-01 on 2026-08-03 shares, plus long-term 2026-06-30 plus current 2026-06-30, minus cash 2021-06-30
Yearly / quarterly
FY Sep 2025$38.6M
FY Sep 2024$36.6M
FY Sep 2023$40.6M
FY Sep 2022$41.2M
FY Dec 2021$61.8M
Jun 2026$30.4M
Mar 2026$39.8M
Dec 2025$38.0M
Sep 2025$38.6M
Jun 2025$37.5M
Mar 2025$36.8M
Dec 2024$36.6M
Sep 2024$36.6M
at each fiscal year end
trailing four quarters at each quarter end
FCF YIELD
+19.2%
TTM free cash flow over market value at close 2026-10-01
Yearly / quarterly
FY Sep 2025+39.6%
FY Sep 2024+157.9%
FY Sep 2023+6.4%
FY Sep 2022-21.1%
FY Dec 2021+10.6%
Jun 2026+17.3%
Mar 2026+95.2%
Dec 2025+82.8%
Sep 2025+39.6%
Jun 2025+155.3%
Mar 2025+63.1%
Dec 2024+110.6%
Sep 2024+157.9%
at each fiscal year end
trailing four quarters at each quarter end
PEG, TRAILING
n/a
trailing loss, a multiple of a loss is not meaningful
Yearly / quarterly
FY Sep 2025n/a
FY Sep 2024n/a
FY Sep 2023n/a
FY Sep 2022n/a
FY Dec 2021n/a
Jun 2026n/a
Mar 2026n/a
Dec 2025n/a
Sep 2025n/a
Jun 2025n/a
Mar 2025n/a
Dec 2024n/a
Sep 2024n/a
at each fiscal year end
trailing four quarters at each quarter end
TTM = FOUR CONSECUTIVE FISCAL QUARTERS, Q4 DERIVED AS YEAR MINUS NINE MONTHS WHEN NOT FILED · RETURNS ON AVERAGE OPENING AND CLOSING BALANCES · EBIT APPROXIMATED BY OPERATING INCOME · PEG ON TRAILING EPS GROWTH · PRICE AS OF 2026-10-01 · HOVER A YEARLY OR QUARTERLY LINE FOR WHAT IT WAS COMPUTED FROM

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TRCK ranks highest on risk and compliance (95th percentile) and insider conviction (89th), and lowest on growth (18th), among Tech Hardware peers.

ProfitHealthGrowthInsidersRisk
Profitability
77
inputs
  • Return on equity+818.5% · 99 pct, sector of 77
  • Return on assets+51.8% · 95 pct, sector of 92
  • Return on invested capital+15.2% · 62 pct, universe of 1,074
  • Return on capital employed+5.2% · 54 pct, sector of 72
Financial health
34
inputs
  • Debt to equity1.07x · 15 pct, sector of 72
  • Cash flow to debt0.33x · 53 pct, sector of 63
Growth
18
inputs
  • Revenue growth, YoY-4.5% · 18 pct, sector of 102
  • Backlog growth, YoYno backlog line filed, or no year-earlier backlog
Insider conviction
89
inputs
  • Net open-market buying, 180d$230K · 99 pct, sector of 75
  • Insider buyers, 180d1 · 80 pct, sector of 77
Risk and compliance
95
inputs
  • Short interest, % of float+0.0% · 98 pct, sector of 107
  • Recalls per $1B revenue, 3yrevenue under $50M or not filed, so a count cannot be scaled to size
  • EPA cases per $1B revenue, 5yrevenue under $50M or not filed, so a count cannot be scaled to size
  • New text in Risk Factors, latest 10-K+3.0% · 92 pct, sector of 80
2 not measured: Institutional and government, US patents
  • Institutional and government needs 1 of 4 inputs, 0 present: fewer than five funds report holding it; no Congress trades in 365 days; no federal contracts in 180 days; no lobbying filings in the last four quarters
  • US patents needs 1 of 2 inputs, 0 present: patent data not loaded yet

5 of 7 axes scored, each a percentile against sector peers (universe where the sector is thin). Higher is better on every axis; an unscored axis is unmeasured, not a low score. How it is scored

SEVEN FACTS, RANKED AGAINST THE SECTOR · RANK IS NOT A FORECAST
INSIDERS
net +$230.4K over 180 days
+$230.4K over 90 days · +$230.4K of it by a 10%+ holder
more than 99% of Tech Hardware
CONGRESS
no member of Congress has reported trading it
FUNDS
fewer than five institutions report holding it
REVENUE
-4.5% year over year
below 82% of Tech Hardware
MARGIN
-5.3% net margin
below 60% of Tech Hardware
BUYBACKS
no share repurchases reported
SHORT
<0.1% of the float short (float per yahoo 2026-10-01) · 1.0 days to cover · settled 2026-09-15
the lowest in Tech Hardware
THE SITUATION · EVERY LINE IS ONE RULE OVER ONE DATASET
JCP Investment Partnership, LP disclosed a 5%+ stake (37.6%) in the last six months.

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The year, with the filings on it
Total return indexed to 100 over the last 12 months · every marker is a federal filing, placed at its date, hover any marker for the detail
TOTAL 12M RETURN +31.4%
+31.4%12M
-51%+10%+70%+131%2025-092025-112026-012026-032026-062026-072026-09 2026-09-30 · JCP Investment Management, LLC bought $230.4K2026-05-05 · JCP Investment Partnership, LP filed a 5%+ stake (37.6%)2026-05-05 · JCP Investment Partners, LP filed a 5%+ stake (37.6%)2026-05-05 · JCP Investment Holdings, LLC filed a 5%+ stake (37.6%)2026-05-05 · JCP Investment Management, LLC filed a 5%+ stake (41.3%)2026-05-05 · Pappas James C filed a 5%+ stake (41.3%)
INSIDER BUY13D/G STAKE
INDEXED RETURN, DIVIDEND-ADJUSTED, NOT A PRICE CHART · LARGE TRADES DRAWN FIRST WHEN A NAME FILES HEAVILY
Live price
Daily candles from TradingView, on their licence , no filings are marked on this one
WHY THIS NAME IS ON THE DESK
An activist crossed the 5% line with declared intent.
The record shows a net $230.4K bought by insiders over 180 days. Every figure is a federal filing, dated the day it became public.
Same sector, ranked by filing activity
Sector from the SEC's own SIC classification
Insider transactions
Form 4 purchases and sales (codes P and S), grants, option exercises and preferred conversions excluded

Over the last 180 days, Track Group, Inc. insiders bought a net $230.4K of stock across 3 Form 4 purchases and sales, with 1 insider(s) buying. Source: SEC Form 4 filings, as of 2026-10-02.

INSIDER
FILED
SHARES
VALUE
JCP Investment Management, LLC
BUY
2026-09-30
384,021
$230.4K
Sehnaoui Karim
Director
BUY
2024-03-19
370,000
$99.9K
Sehnaoui Karim
Director
BUY
2024-02-01
4,400
$880
3 TRANSACTIONS ON RECORD · THIN RECORD, READ IT AS SUCH

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Institutional holders
13F · holdings as of the latest quarter funds have reported

no 13F holders found for this ticker

5%+ owners
13D = intent to influence · 13G = passive
JCP Investment Partnership, LP
ACTIVIST 13D · 2026-05-05
37.6%
JCP Investment Partners, LP
ACTIVIST 13D · 2026-05-05
37.6%
JCP Investment Holdings, LLC
ACTIVIST 13D · 2026-05-05
37.6%
JCP Investment Management, LLC
ACTIVIST 13D · 2026-05-05
41.3%
Pappas James C
ACTIVIST 13D · 2026-05-05
41.3%
FORM 144
No planned-sale notices
No insider has notified an intent to sell. This is the panel to watch after a run-up.
Fundamentals
Annual figures from XBRL filings · pick a past date to see them exactly as the market knew them then, restatements and all
2025-092024-092023-092022-09
REVENUE$35.2M$36.9M$34.5M$37.0M
GROSS PROFIT$17.5M$17.2M$15.3M$17.4M
OPERATING INCOME$1.2M$-1.9M$-1.5M$-2.1M
NET INCOME$-1.9M$-3.1M$-3.4M$-7.4M
EPS (DILUTED)-0.16-0.26-0.300.64
OPERATING CASH FLOW$4.3M$4.9M$3.9M$803.0K
LONG-TERM DEBT$42.7M$42.7M$42.8M$43.0M
SEC XBRL · FISCAL-YEAR PERIODS · AS KNOWN ON 2026-10-02 · NOBODY ELSE SHOWS FUNDAMENTALS AS OF A PAST DATE