Atlassian Bilan de santé
Santé financière contrôle des critères 6/6
Atlassian possède un total de capitaux propres de $1.0B et une dette totale de $986.3M, ce qui porte son ratio d'endettement à 95.9%. Son actif total et son passif total sont $5.0B et de $4.0B.
Informations clés
95.9%
Ratio d'endettement
US$986.35m
Dette
Ratio de couverture des intérêts | n/a |
Argent liquide | US$2.22b |
Fonds propres | US$1.03b |
Total du passif | US$3.96b |
Total des actifs | US$4.99b |
Mises à jour récentes de la santé financière
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 15Analyse de la situation financière
Passif à court terme: Les actifs à court terme de TEAM ( $2.9B ) dépassent ses passifs à court terme ( $2.4B ).
Passif à long terme: Les actifs à court terme de TEAM ( $2.9B ) dépassent ses passifs à long terme ( $1.5B ).
Historique et analyse du ratio d'endettement
Niveau d'endettement: TEAM dispose de plus de liquidités que de sa dette totale.
Réduire la dette: Le ratio d'endettement de TEAM a été réduit de 124.2% à 95.9% 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 TEAM 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: TEAM 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 20.8 % par an.