Rio2 Balance Sheet Health

Financial Health criteria checks 4/6

Rio2 tiene unos fondos propios totales de $75.2M y una deuda total de $0.0, lo que sitúa su ratio deuda/fondos propios en 0%. Sus activos y pasivos totales son $109.6M y $34.4M respectivamente.

Key information

0%

Debt to equity ratio

US$0

Debt

Interest coverage ration/a
CashUS$4.60m
EquityUS$73.21m
Total liabilitiesUS$35.21m
Total assetsUS$108.42m

Recent financial health updates

Recent updates

We're Not Worried About Rio2's (CVE:RIO) Cash Burn

Dec 11
We're Not Worried About Rio2's (CVE:RIO) Cash Burn

Rio2 (CVE:RIO) Is In A Good Position To Deliver On Growth Plans

Aug 28
Rio2 (CVE:RIO) Is In A Good Position To Deliver On Growth Plans

Here's Why We're Watching Rio2's (CVE:RIO) Cash Burn Situation

Apr 23
Here's Why We're Watching Rio2's (CVE:RIO) Cash Burn Situation

Is Rio2 (CVE:RIO) In A Good Position To Deliver On Growth Plans?

Dec 05
Is Rio2 (CVE:RIO) In A Good Position To Deliver On Growth Plans?

Is Rio2 Limited's (CVE:RIO) Shareholder Ownership Skewed Towards Insiders?

Feb 05
Is Rio2 Limited's (CVE:RIO) Shareholder Ownership Skewed Towards Insiders?

How Much Are Rio2 Limited (CVE:RIO) Insiders Spending On Buying Shares?

Dec 14
How Much Are Rio2 Limited (CVE:RIO) Insiders Spending On Buying Shares?

Financial Position Analysis

Pasivos a corto plazo: RIOLos activos a corto plazo ($5.9M) de la empresa superan a sus pasivos a corto plazo ($776.1K).

Pasivo a largo plazo: Los activos a corto plazo de RIO ($5.9M) no cubren sus pasivos a largo plazo ($33.6M).


Debt to Equity History and Analysis

Nivel de deuda: RIO está libre de deudas.

Reducción de la deuda: RIO no tenía deudas hace 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: RIO tiene suficiente margen de tesorería para más de un año basándose en su flujo de caja libre actual.

Pronóstico de cash runway: RIO tiene menos de un año de liquidez si el flujo de caja libre sigue reduciéndose al ritmo histórico de 27.9% cada año


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