Bandwidth Inc.

NasdaqGS:BAND Rapport sur les actions

Capitalisation boursière : US$493.8m

Bandwidth Bilan de santé

Santé financière contrôle des critères 3/6

Bandwidth possède un total de capitaux propres de $336.6M et une dette totale de $306.0M, ce qui porte son ratio d'endettement à 90.9%. Son actif total et son passif total sont $1.0B et de $693.2M.

Informations clés

90.9%

Ratio d'endettement

US$305.97m

Dette

Ratio de couverture des intérêtsn/a
Argent liquideUS$79.91m
Fonds propresUS$336.58m
Total du passifUS$693.17m
Total des actifsUS$1.03b

Mises à jour récentes de la santé financière

Recent updates

Bandwidth: Sailing Higher On Strong Election Cycle Trends

Nov 04

US$24.50: That's What Analysts Think Bandwidth Inc. (NASDAQ:BAND) Is Worth After Its Latest Results

Aug 03
US$24.50: That's What Analysts Think Bandwidth Inc. (NASDAQ:BAND) Is Worth After Its Latest Results

Bandwidth Q2 Earnings: Minor Growth Concerns But The Post-Earnings Sell-Off Is Unjustified

Aug 02

Bandwidth Inc.'s (NASDAQ:BAND) 38% Price Boost Is Out Of Tune With Revenues

Aug 01
Bandwidth Inc.'s (NASDAQ:BAND) 38% Price Boost Is Out Of Tune With Revenues

Bandwidth Inc. (NASDAQ:BAND) May Have Run Too Fast Too Soon With Recent 30% Price Plummet

Jun 15
Bandwidth Inc. (NASDAQ:BAND) May Have Run Too Fast Too Soon With Recent 30% Price Plummet

Bandwidth: 2024 Will Be The Year Of Strong Execution

May 22

Does Bandwidth (NASDAQ:BAND) Have A Healthy Balance Sheet?

May 03
Does Bandwidth (NASDAQ:BAND) Have A Healthy Balance Sheet?

Bandwidth: Promising Outlook, But Risks Remain (Rating Upgrade)

Feb 29

Many Still Looking Away From Bandwidth Inc. (NASDAQ:BAND)

Feb 23
Many Still Looking Away From Bandwidth Inc. (NASDAQ:BAND)

Is Bandwidth (NASDAQ:BAND) A Risky Investment?

Jan 24
Is Bandwidth (NASDAQ:BAND) A Risky Investment?

At US$9.49, Is It Time To Put Bandwidth Inc. (NASDAQ:BAND) On Your Watch List?

Oct 24
At US$9.49, Is It Time To Put Bandwidth Inc. (NASDAQ:BAND) On Your Watch List?

Is Bandwidth (NASDAQ:BAND) Using Too Much Debt?

Sep 21
Is Bandwidth (NASDAQ:BAND) Using Too Much Debt?

Is Bandwidth (NASDAQ:BAND) Using Debt In A Risky Way?

Jun 16
Is Bandwidth (NASDAQ:BAND) Using Debt In A Risky Way?

Is It Time To Consider Buying Bandwidth Inc. (NASDAQ:BAND)?

Apr 26
Is It Time To Consider Buying Bandwidth Inc. (NASDAQ:BAND)?

Should You Think About Buying Bandwidth Inc. (NASDAQ:BAND) Now?

Jan 20
Should You Think About Buying Bandwidth Inc. (NASDAQ:BAND) Now?

Bandwidth (NASDAQ:BAND) Has Debt But No Earnings; Should You Worry?

Oct 17
Bandwidth (NASDAQ:BAND) Has Debt But No Earnings; Should You Worry?

GoTo selects Bandwidth as primary communications platform to power global growth

Sep 15

Bandwidth: Buy For Value

Aug 10

Bandwidth's price target sliced at Morgan Stanley, Piper Sandler over corrections in cloud infra stocks

Jul 14

Does Bandwidth (NASDAQ:BAND) Have A Healthy Balance Sheet?

Jun 24
Does Bandwidth (NASDAQ:BAND) Have A Healthy Balance Sheet?

Bandwidth: Expectations Have Been Reset, Time For The Rebound

May 24

The Break Down Of The Bandwidth

May 05

Analyse de la situation financière

Passif à court terme: Les actifs à court terme de BAND ( $198.7M ) dépassent ses passifs à court terme ( $153.7M ).

Passif à long terme: Les actifs à court terme de BAND ( $198.7M ) ne couvrent pas ses passifs à long terme ( $539.5M ).


Historique et analyse du ratio d'endettement

Niveau d'endettement: Le ratio dette nette/capitaux propres de BAND ( 67.2% ) est considéré comme élevé.

Réduire la dette: Le ratio d'endettement de BAND est passé de 0% à 90.9% 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 BAND 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: BAND 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 28.1 % par an.


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