Pentanet Balance Sheet Health

Financial Health criteria checks 4/6

Pentanet tiene unos fondos propios totales de A$31.2M y una deuda total de A$2.6M, lo que sitúa su ratio deuda/fondos propios en 8.4%. Sus activos y pasivos totales son A$48.1M y A$16.9M respectivamente.

Key information

8.6%

Debt to equity ratio

AU$2.44m

Debt

Interest coverage ration/a
CashAU$6.78m
EquityAU$28.41m
Total liabilitiesAU$15.77m
Total assetsAU$44.18m

Recent financial health updates

Here's Why We're Not Too Worried About Pentanet's (ASX:5GG) Cash Burn Situation

Aug 31
Here's Why We're Not Too Worried About Pentanet's (ASX:5GG) Cash Burn Situation

Recent updates

Market Might Still Lack Some Conviction On Pentanet Limited (ASX:5GG) Even After 25% Share Price Boost

Mar 23
Market Might Still Lack Some Conviction On Pentanet Limited (ASX:5GG) Even After 25% Share Price Boost

Cautious Investors Not Rewarding Pentanet Limited's (ASX:5GG) Performance Completely

Feb 02
Cautious Investors Not Rewarding Pentanet Limited's (ASX:5GG) Performance Completely

Investors Give Pentanet Limited (ASX:5GG) Shares A 27% Hiding

Apr 17
Investors Give Pentanet Limited (ASX:5GG) Shares A 27% Hiding

An Intrinsic Calculation For Pentanet Limited (ASX:5GG) Suggests It's 50% Undervalued

Aug 11
An Intrinsic Calculation For Pentanet Limited (ASX:5GG) Suggests It's 50% Undervalued

Here's Why We're Not Too Worried About Pentanet's (ASX:5GG) Cash Burn Situation

Aug 31
Here's Why We're Not Too Worried About Pentanet's (ASX:5GG) Cash Burn Situation

Financial Position Analysis

Pasivos a corto plazo: 5GGLos activos a corto plazo (A$12.1M) de la empresa superan a sus pasivos a corto plazo (A$7.9M).

Pasivo a largo plazo: Los activos a corto plazo de 5GG (A$8.0M) no cubren sus pasivos a largo plazo (A$8.9M).


Debt to Equity History and Analysis

Nivel de deuda: 5GG tiene más efectivo que su deuda total.

Reducción de la deuda: No se dispone de datos suficientes para determinar si el ratio deuda/fondos propios de 5GG se ha reducido en los últimos 5 años.


Balance Sheet


Cash Runway Analysis

For companies that have on average been loss-making in the past, we assess whether they have at least 1 year of cash runway.

Cash runway estable: 5GG tiene suficiente cash runway para 11 meses según el último flujo de caja libre declarado [flujo de caja libre]], pero desde entonces ha obtenido capital adicional.

Pronóstico de cash runway: 5GG se prevé que disponga de suficiente liquidez para 12 meses según las estimaciones de flujo de caja libre, pero desde entonces ha obtenido capital adicional.


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