Outset Medical Salute del bilancio
Salute finanziaria criteri di controllo 5/6
Outset Medical has a total shareholder equity of $68.6M and total debt of $197.0M, which brings its debt-to-equity ratio to 287.2%. Its total assets and total liabilities are $314.5M and $245.9M respectively.
Informazioni chiave
287.2%
Rapporto debito/patrimonio netto
US$196.99m
Debito
Indice di copertura degli interessi | n/a |
Contanti | US$194.85m |
Patrimonio netto | US$68.60m |
Totale passività | US$245.94m |
Totale attività | US$314.53m |
Aggiornamenti recenti sulla salute finanziaria
Nessun aggiornamento
Recent updates
Outset Medical, Inc. (NASDAQ:OM) Might Not Be As Mispriced As It Looks After Plunging 27%
Sep 24Outset Medical, Inc. (NASDAQ:OM) Analysts Are Cutting Their Estimates: Here's What You Need To Know
Aug 11Outset Medical, Inc. (NASDAQ:OM) Stock Rockets 25% But Many Are Still Ignoring The Company
Jul 17Outset Medical: Expecting Accelerated Growth And Reduced Cash Burn Going Forward
May 28Outset Medical, Inc.'s (NASDAQ:OM) CEO Compensation Is Looking A Bit Stretched At The Moment
May 23Investors Still Aren't Entirely Convinced By Outset Medical, Inc.'s (NASDAQ:OM) Revenues Despite 30% Price Jump
May 10Not Many Are Piling Into Outset Medical, Inc. (NASDAQ:OM) Stock Yet As It Plummets 29%
Feb 14Outset Medical, Inc.'s (NASDAQ:OM) Earnings Haven't Escaped The Attention Of Investors
Jun 09Outset Medical: Tablo Ship Hold A Key Overhang To Unlock Risk Capital
Sep 20Outset Medical awarded VA contract for hemodialysis
Aug 15Outset Medical jumps 24% after 2Q results as FDA clears hemodialysis system
Aug 01Outset Medical: Margins Leave No Tangible Value Flow, Pricing 18% Downside
Jul 06Analisi della posizione finanziaria
Passività a breve termine: OM's short term assets ($295.1M) exceed its short term liabilities ($43.4M).
Passività a lungo termine: OM's short term assets ($295.1M) exceed its long term liabilities ($202.5M).
Storia e analisi del rapporto debito/patrimonio netto
Livello di debito: OM's net debt to equity ratio (3.1%) is considered satisfactory.
Riduzione del debito: OM's debt to equity ratio has increased from 45.1% to 287.2% over the past 5 years.
Bilancio
Analisi della pista di contanti
Per le società che in passato sono state mediamente in perdita, valutiamo se hanno almeno un anno di liquidità.
Pista di liquidità stabile: OM has sufficient cash runway for more than a year based on its current free cash flow.
Previsione Cash Runway: OM has sufficient cash runway for 1.4 years if free cash flow continues to reduce at historical rates of 14.1% each year.