Creo Medical Group PLC

AIM:CREO Stock Report

Market Cap: UK£128.9m

Creo Medical Group Balance Sheet Health

Financial Health criteria checks 3/6

Creo Medical Group tiene unos fondos propios totales de £69.0M y una deuda total de £9.2M, lo que sitúa su ratio deuda/fondos propios en 13.3%. Sus activos y pasivos totales son £88.7M y £19.7M respectivamente.

Key information

13.3%

Debt to equity ratio

UK£9.20m

Debt

Interest coverage ration/a
CashUK£26.50m
EquityUK£69.00m
Total liabilitiesUK£19.70m
Total assetsUK£88.70m

Recent financial health updates

Recent updates

Market Cool On Creo Medical Group PLC's (LON:CREO) Revenues Pushing Shares 26% Lower

Mar 02
Market Cool On Creo Medical Group PLC's (LON:CREO) Revenues Pushing Shares 26% Lower

Revenues Tell The Story For Creo Medical Group PLC (LON:CREO) As Its Stock Soars 29%

Dec 29
Revenues Tell The Story For Creo Medical Group PLC (LON:CREO) As Its Stock Soars 29%

Is Creo Medical Group (LON:CREO) Weighed On By Its Debt Load?

Oct 06
Is Creo Medical Group (LON:CREO) Weighed On By Its Debt Load?

Creo Medical (LON:CREO) Is In A Good Position To Deliver On Growth Plans

Feb 03
Creo Medical (LON:CREO) Is In A Good Position To Deliver On Growth Plans

How Many Creo Medical Limited (LON:CREO) Shares Do Institutions Own?

Dec 09
How Many Creo Medical Limited (LON:CREO) Shares Do Institutions Own?

Financial Position Analysis

Pasivos a corto plazo: CREOLos activos a corto plazo (£49.1M) de la empresa superan a sus pasivos a corto plazo (£11.9M).

Pasivo a largo plazo: CREOLos activos a corto plazo (£49.1M) superan a sus pasivos a largo plazo (£7.8M).


Debt to Equity History and Analysis

Nivel de deuda: CREO tiene más efectivo que su deuda total.

Reducción de la deuda: CREOha pasado de 0.6% a 13.3% 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: Datos insuficientes para determinar si CREO tiene suficiente margen de liquidez basado en su flujo de caja libre actual.

Pronóstico de cash runway: Datos insuficientes para determinar si CREO tiene suficiente margen de liquidez en caso de que su flujo de caja libre siga creciendo o disminuyendo en función de las tasas históricas.


Discover healthy companies

Price

7D

1Y

Mkt cap

PS

E.Growth

Analysts Target

Price

7D

1Y

Mkt cap

PS

E.Growth

Analysts Target

Price

7D

1Y

Mkt cap

PS

E.Growth

Analysts Target

Price

7D

1Y

Mkt cap

PS

E.Growth

Analysts Target

Simply Wall Street Pty Ltd (ACN 600 056 611), is a Corporate Authorised Representative (Authorised Representative Number: 467183) of Sanlam Private Wealth Pty Ltd (AFSL No. 337927). Any advice contained in this website is general advice only and has been prepared without considering your objectives, financial situation or needs. You should not rely on any advice and/or information contained in this website and before making any investment decision we recommend that you consider whether it is appropriate for your situation and seek appropriate financial, taxation and legal advice. Please read our Financial Services Guide before deciding whether to obtain financial services from us.