Salud financiera de hoja de balance de Atlassian
Salud financiera controles de criterios 6/6
Atlassian tiene un patrimonio de los accionistas total de $1.0B y una deuda total de $986.3M, lo que sitúa su ratio deuda-patrimonio en 95.9%. Sus activos y pasivos totales son $5.0B y $4.0B respectivamente.
Información clave
95.9%
Ratio deuda-patrimonio
US$986.35m
Deuda
Ratio de cobertura de intereses | n/a |
Efectivo | US$2.22b |
Patrimonio | US$1.03b |
Total pasivo | US$3.96b |
Activos totales | US$4.99b |
Actualizaciones recientes sobre salud financiera
Health Check: How Prudently Does Atlassian (NASDAQ:TEAM) Use Debt?
Sep 02Atlassian (NASDAQ:TEAM) Has Debt But No Earnings; Should You Worry?
Jan 29Is Atlassian (NASDAQ:TEAM) Using Debt In A Risky Way?
Oct 05Is Atlassian (NASDAQ:TEAM) Using Debt Sensibly?
Jul 06Is Atlassian (NASDAQ:TEAM) A Risky Investment?
Feb 15Recent updates
Optimistic Investors Push Atlassian Corporation (NASDAQ:TEAM) Shares Up 28% But Growth Is Lacking
Nov 20Atlassian Q1 Review: Pivot To The Enterprise Is Working Wonders
Nov 03Atlassian Corporation (NASDAQ:TEAM) Just Reported And Analysts Have Been Lifting Their Price Targets
Nov 02Atlassian Corporation (NASDAQ:TEAM) Shares Could Be 29% Below Their Intrinsic Value Estimate
Oct 26Atlassian: More Fog Than A Scalable Cloud
Sep 17Health Check: How Prudently Does Atlassian (NASDAQ:TEAM) Use Debt?
Sep 02Atlassian: Now, It's Finally Time To Buy (Rating Upgrade)
Aug 16Atlassian Corporation's (NASDAQ:TEAM) 25% Dip Still Leaving Some Shareholders Feeling Restless Over Its P/SRatio
Aug 07Atlassian: A Cloud-Driven Collaboration Leader Poised For AI-Powered Growth
Jul 31Atlassian Q4 Earnings Preview: My Bearish Sentiment Could Change Soon
Jul 16Atlassian: Collaboration Kings With A Cloudy Future
Jun 20Atlassian: Time To Initiate A Position, As Management Continues To Exceed Expectations
Jun 10Atlassian: More Attractive After The Dip (Rating Upgrade)
May 19Atlassian: Risk/Reward Still Not Attractive
May 09Atlassian Corporation's (NASDAQ:TEAM) Price In Tune With Revenues
Apr 19Atlassian's Cloud Segment: Key Revenue Driver, More Than Fully Priced
Apr 17Atlassian: Long-Term Prospects Are Alive, But Wait For A Better Entry Point
Apr 03Atlassian Corporation's (NASDAQ:TEAM) Intrinsic Value Is Potentially 45% Above Its Share Price
Mar 23Atlassian: No Catalysts For Appreciation This Year (Rating Downgrade)
Mar 13Atlassian: Indicators Stabilizing But Price Still Not Attractive
Mar 01Atlassian: Lack Of Profitability And Operating Leverage Concerning
Feb 10Atlassian: GAAP Profitability, Accelerating Top-Line Growth Ahead (Ratings Upgrade)
Jan 30Atlassian (NASDAQ:TEAM) Has Debt But No Earnings; Should You Worry?
Jan 29Investors Interested In Atlassian Corporation's (NASDAQ:TEAM) Revenues
Jan 02An Intrinsic Calculation For Atlassian Corporation (NASDAQ:TEAM) Suggests It's 31% Undervalued
Dec 06Is Atlassian (NASDAQ:TEAM) Using Debt In A Risky Way?
Oct 05Is Atlassian Corporation (NASDAQ:TEAM) Trading At A 25% Discount?
Sep 07Is Atlassian (NASDAQ:TEAM) Using Debt Sensibly?
Jul 06Atlassian Corporation (NASDAQ:TEAM) Shares Could Be 26% Below Their Intrinsic Value Estimate
May 03Is Atlassian (NASDAQ:TEAM) A Risky Investment?
Feb 15Análisis de la situación financiera
Pasivos a corto plazo: Los activos a corto plazo ($2.9B) de TEAM superan a sus pasivos a corto plazo ($2.4B).
Pasivo a largo plazo: Los activos a corto plazo de TEAM ($2.9B) superan a sus pasivos a largo plazo ($1.5B).
Historial y análisis de deuda-patrimonio
Nivel de deuda: TEAM tiene más efectivo que su deuda total.
Reducción de la deuda: El ratio deuda-patrimonio de TEAM ha pasado de 124.2% a 95.9% en los últimos 5 años.
Hoja de balance
Análisis de cash runway
En el caso de las empresas que de media han sido deficitarias en el pasado, evaluamos si tienen al menos 1 año de cash runway.
Cash runway estable: Aunque no es rentable TEAM tiene suficiente cash runway para más de 3 años si mantiene su actual nivel positivo de flujo de caja libre.
Pronóstico de cash runway: TEAM no es rentable pero tiene suficiente cash runway para más de 3 años, debido a que el flujo de caja libre es positivo y crece un 20.8% al año.