Root, Inc.

NasdaqGS:ROOT Rapport sur les actions

Capitalisation boursière : US$1.5b

Root Bilan de santé

Santé financière contrôle des critères 5/6

Root possède un total de capitaux propres de $293.9M et une dette totale de $300.9M, ce qui porte son ratio d'endettement à 102.4%. Son actif total et son passif total sont $1.6B et de $1.3B. L'EBIT de Root est $33.2M ce qui fait que son ratio de couverture des intérêts 0.7. Elle dispose de liquidités et de placements à court terme de $683.4M.

Informations clés

102.4%

Ratio d'endettement

US$300.90m

Dette

Ratio de couverture des intérêts0.7x
Argent liquideUS$683.40m
Fonds propresUS$293.90m
Total du passifUS$1.27b
Total des actifsUS$1.56b

Mises à jour récentes de la santé financière

Pas de mise à jour

Recent updates

Root, Inc. (NASDAQ:ROOT) Stock Rockets 74% But Many Are Still Ignoring The Company

Nov 01
Root, Inc. (NASDAQ:ROOT) Stock Rockets 74% But Many Are Still Ignoring The Company

Root, Inc. Has Entered The World Of Profits (Rating Upgrade)

Nov 01

Root Inc. Q3 Earnings Preview: Loss Ratio Not Sustainable

Oct 24

Take Care Before Jumping Onto Root, Inc. (NASDAQ:ROOT) Even Though It's 36% Cheaper

Aug 19
Take Care Before Jumping Onto Root, Inc. (NASDAQ:ROOT) Even Though It's 36% Cheaper

Root Inc: Rising Insurer In A Competitive Space

Aug 11

Root, Inc. (NASDAQ:ROOT) Might Not Be As Mispriced As It Looks After Plunging 33%

Jun 19
Root, Inc. (NASDAQ:ROOT) Might Not Be As Mispriced As It Looks After Plunging 33%

Root, Inc.: Promising Embedded Strategy With Potential Nationwide Expansion

May 06

Not Many Are Piling Into Root, Inc. (NASDAQ:ROOT) Stock Yet As It Plummets 32%

May 05
Not Many Are Piling Into Root, Inc. (NASDAQ:ROOT) Stock Yet As It Plummets 32%

Root, Inc. (NASDAQ:ROOT) Reported Earnings Last Week And Analysts Are Already Upgrading Their Estimates

May 03
Root, Inc. (NASDAQ:ROOT) Reported Earnings Last Week And Analysts Are Already Upgrading Their Estimates

Small Cap Nuance With Courage & Conviction Investing

Mar 04

Root, Inc. (NASDAQ:ROOT) Reported Earnings Last Week And Analysts Are Already Upgrading Their Estimates

Feb 25
Root, Inc. (NASDAQ:ROOT) Reported Earnings Last Week And Analysts Are Already Upgrading Their Estimates

Root, Inc. Q4 Earnings: Current Price Requires Exceptional Growth

Feb 23

Investors Holding Back On Root, Inc. (NASDAQ:ROOT)

Jan 15
Investors Holding Back On Root, Inc. (NASDAQ:ROOT)

Industry Analysts Just Made A Sizeable Upgrade To Their Root, Inc. (NASDAQ:ROOT) Revenue Forecasts

Aug 10
Industry Analysts Just Made A Sizeable Upgrade To Their Root, Inc. (NASDAQ:ROOT) Revenue Forecasts

Root Insurance: Spiral Of Death But There Is Hope

Aug 16

Root Q2 2022 Earnings Preview

Aug 05

Root partners with 2 national football league teams, 1 major league baseball team

Jul 12

Root: Shares Up 53% Last Week And Still Trading Below Cash - But Avoid

Mar 21

Root Seeks Major Cost Reductions To Stanch High Losses

Jan 25

Root: 85% Down From IPO After Q3 Results, But Still Too Speculative

Nov 24

As Earnings Approach, A Buy-Write In Root Could Produce 12% Return In Under A Month

Oct 28

Analyse de la situation financière

Passif à court terme: Les actifs à court terme de ROOT ( $1.2B ) dépassent ses passifs à court terme ( $464.6M ).

Passif à long terme: Les actifs à court terme de ROOT ( $1.2B ) dépassent ses passifs à long terme ( $803.4M ).


Historique et analyse du ratio d'endettement

Niveau d'endettement: ROOT dispose de plus de liquidités que de sa dette totale.

Réduire la dette: Le ratio d'endettement de ROOT est passé de 91.5% à 102.4% au cours des 5 dernières années.


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: Bien que non rentable ROOT dispose d'une piste de trésorerie suffisante pour plus de 3 ans si elle maintient son niveau actuel de flux de trésorerie disponible positif.

Prévisions de trésorerie: ROOT n'est pas rentable mais dispose d'une marge de trésorerie suffisante pour plus de 3 ans, grâce à un flux de trésorerie disponible positif et en croissance de 18.6 % par an.


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