Atlassian Corporation

NasdaqGS:TEAM Rapporto sulle azioni

Cap. di mercato: US$42.7b

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Atlassian Salute del bilancio

Salute finanziaria criteri di controllo 6/6

Atlassian ha un patrimonio netto totale di $1.0B e un debito totale di $985.9M, che porta il suo rapporto debito/patrimonio netto a 95.5%. Le sue attività totali e le sue passività totali sono rispettivamente $5.2B e $4.2B.

Informazioni chiave

95.5%

Rapporto debito/patrimonio netto

US$985.91m

Debito

Indice di copertura degli interessin/a
ContantiUS$2.34b
Patrimonio nettoUS$1.03b
Totale passivitàUS$4.18b
Totale attivitàUS$5.21b

Aggiornamenti recenti sulla salute finanziaria

Recent updates

Atlassian: Now, It's Finally Time To Buy (Rating Upgrade)

Aug 16

Atlassian Corporation's (NASDAQ:TEAM) 25% Dip Still Leaving Some Shareholders Feeling Restless Over Its P/SRatio

Aug 07
Atlassian Corporation's (NASDAQ:TEAM) 25% Dip Still Leaving Some Shareholders Feeling Restless Over Its P/SRatio

Atlassian: A Cloud-Driven Collaboration Leader Poised For AI-Powered Growth

Jul 31

Atlassian Q4 Earnings Preview: My Bearish Sentiment Could Change Soon

Jul 16

Atlassian: Collaboration Kings With A Cloudy Future

Jun 20

Atlassian: Time To Initiate A Position, As Management Continues To Exceed Expectations

Jun 10

Atlassian: More Attractive After The Dip (Rating Upgrade)

May 19

Atlassian: Risk/Reward Still Not Attractive

May 09

Atlassian Corporation's (NASDAQ:TEAM) Price In Tune With Revenues

Apr 19
Atlassian Corporation's (NASDAQ:TEAM) Price In Tune With Revenues

Atlassian's Cloud Segment: Key Revenue Driver, More Than Fully Priced

Apr 17

Atlassian: Long-Term Prospects Are Alive, But Wait For A Better Entry Point

Apr 03

Atlassian Corporation's (NASDAQ:TEAM) Intrinsic Value Is Potentially 45% Above Its Share Price

Mar 23
Atlassian Corporation's (NASDAQ:TEAM) Intrinsic Value Is Potentially 45% Above Its Share Price

Atlassian: No Catalysts For Appreciation This Year (Rating Downgrade)

Mar 13

Atlassian: Indicators Stabilizing But Price Still Not Attractive

Mar 01

Atlassian: Lack Of Profitability And Operating Leverage Concerning

Feb 10

Atlassian: GAAP Profitability, Accelerating Top-Line Growth Ahead (Ratings Upgrade)

Jan 30

Atlassian (NASDAQ:TEAM) Has Debt But No Earnings; Should You Worry?

Jan 29
Atlassian (NASDAQ:TEAM) Has Debt But No Earnings; Should You Worry?

Investors Interested In Atlassian Corporation's (NASDAQ:TEAM) Revenues

Jan 02
Investors Interested In Atlassian Corporation's (NASDAQ:TEAM) Revenues

An Intrinsic Calculation For Atlassian Corporation (NASDAQ:TEAM) Suggests It's 31% Undervalued

Dec 06
An Intrinsic Calculation For Atlassian Corporation (NASDAQ:TEAM) Suggests It's 31% Undervalued

Is Atlassian (NASDAQ:TEAM) Using Debt In A Risky Way?

Oct 05
Is Atlassian (NASDAQ:TEAM) Using Debt In A Risky Way?

Is Atlassian Corporation (NASDAQ:TEAM) Trading At A 25% Discount?

Sep 07
Is Atlassian Corporation (NASDAQ:TEAM) Trading At A 25% Discount?

Is Atlassian (NASDAQ:TEAM) Using Debt Sensibly?

Jul 06
Is Atlassian (NASDAQ:TEAM) Using Debt Sensibly?

Atlassian Corporation (NASDAQ:TEAM) Shares Could Be 26% Below Their Intrinsic Value Estimate

May 03
Atlassian Corporation (NASDAQ:TEAM) Shares Could Be 26% Below Their Intrinsic Value Estimate

Is Atlassian (NASDAQ:TEAM) A Risky Investment?

Feb 15
Is Atlassian (NASDAQ:TEAM) A Risky Investment?

A Look At The Fair Value Of Atlassian Corporation (NASDAQ:TEAM)

Jan 11
A Look At The Fair Value Of Atlassian Corporation (NASDAQ:TEAM)

At US$146, Is Atlassian Corporation (NASDAQ:TEAM) Worth Looking At Closely?

Dec 16
At US$146, Is Atlassian Corporation (NASDAQ:TEAM) Worth Looking At Closely?

Analisi della posizione finanziaria

Passività a breve termine: Le attività a breve termine ( $3.1B ) di TEAM superano le sue passività a breve termine ( $2.6B ).

Passività a lungo termine: Le attività a breve termine di TEAM ( $3.1B ) superano le sue passività a lungo termine ( $1.6B ).


Storia e analisi del rapporto debito/patrimonio netto

Livello di debito: TEAM ha più liquidità del suo debito totale.

Riduzione del debito: Il rapporto debito/patrimonio netto di TEAM si è ridotto da 151% a 95.5% negli ultimi 5 anni.


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: Sebbene non redditizia TEAM ha una pista di cassa sufficiente per più di 3 anni se mantiene il suo attuale livello positivo di flusso di cassa libero.

Previsione Cash Runway: TEAM non è redditizia ma ha una liquidità sufficiente per più di 3 anni, grazie al flusso di cassa libero positivo e in crescita del 21 % all'anno.


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