Sequana Medical NV

ENXTBR:SEQUA Rapport sur les actions

Capitalisation boursière : €36.5m

Sequana Medical Bilan de santé

Santé financière contrôle des critères 0/6

Sequana Medical has a total shareholder equity of €-19.6M and total debt of €21.8M, which brings its debt-to-equity ratio to -111.3%. Its total assets and total liabilities are €10.8M and €30.4M respectively.

Informations clés

-111.3%

Ratio d'endettement

€21.77m

Dette

Ratio de couverture des intérêtsn/a
Argent liquide€4.15m
Fonds propres-€19.56m
Total du passif€30.35m
Total des actifs€10.79m

Mises à jour récentes de la santé financière

Recent updates

Health Check: How Prudently Does Sequana Medical (EBR:SEQUA) Use Debt?

Mar 19
Health Check: How Prudently Does Sequana Medical (EBR:SEQUA) Use Debt?

Did Sequana Medical's (EBR:SEQUA) Share Price Deserve to Gain 51%?

Jan 26
Did Sequana Medical's (EBR:SEQUA) Share Price Deserve to Gain 51%?

Do Institutions Own Sequana Medical NV (EBR:SEQUA) Shares?

Dec 03
Do Institutions Own Sequana Medical NV (EBR:SEQUA) Shares?

Analyse de la situation financière

Passif à court terme: SEQUA has negative shareholder equity, which is a more serious situation than short term assets not covering short term liabilities.

Passif à long terme: SEQUA has negative shareholder equity, which is a more serious situation than short term assets not covering long term liabilities.


Historique et analyse du ratio d'endettement

Niveau d'endettement: SEQUA has negative shareholder equity, which is a more serious situation than a high debt level.

Réduire la dette: SEQUA's has negative shareholder equity, so we do not need to check if its debt has reduced over time.


Bilan


Analyse des pistes de trésorerie

Pour les entreprises qui ont été en moyenne déficitaires dans le passé, nous évaluons si elles disposent d'au moins un an de trésorerie.

Piste de trésorerie stable: SEQUA has less than a year of cash runway based on its current free cash flow.

Prévisions de trésorerie: SEQUA has less than a year of cash runway if free cash flow continues to reduce at historical rates of 15.8% each year


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