Summer Infant, Inc.

NasdaqCM:SUMR Rapport sur les actions

Capitalisation boursière : US$26.0m

This company has been acquired

The company may no longer be operating, as it has been acquired. Find out why through their latest events.

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Summer Infant Bilan de santé

Santé financière contrôle des critères 0/6

Informations clés

-2,936.5%

Ratio d'endettement

US$37.62m

Dette

Ratio de couverture des intérêtsn/a
Argent liquideUS$598.00k
Fonds propres-US$1.28m
Total du passifUS$83.37m
Total des actifsUS$82.09m

Mises à jour récentes de la santé financière

Is Summer Infant (NASDAQ:SUMR) Using Too Much Debt?

Feb 03
Is Summer Infant (NASDAQ:SUMR) Using Too Much Debt?

Recent updates

Returns On Capital Are Showing Encouraging Signs At Summer Infant (NASDAQ:SUMR)

Mar 15
Returns On Capital Are Showing Encouraging Signs At Summer Infant (NASDAQ:SUMR)

Is Summer Infant (NASDAQ:SUMR) Using Too Much Debt?

Feb 03
Is Summer Infant (NASDAQ:SUMR) Using Too Much Debt?

Summer Infant: An Interrupted Turnaround Resumes

Nov 16

We Like These Underlying Return On Capital Trends At Summer Infant (NASDAQ:SUMR)

Nov 12
We Like These Underlying Return On Capital Trends At Summer Infant (NASDAQ:SUMR)

Analyse de la situation financière

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

Passif à long terme: SUMR 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: SUMR has negative shareholder equity, which is a more serious situation than a high debt level.

Réduire la dette: SUMR'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: SUMR has less than a year of cash runway based on its current free cash flow.

Prévisions de trésorerie: SUMR has less than a year of cash runway if free cash flow continues to reduce at historical rates of 1.4% each year


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