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Tortilla Mexican Grill Balans Gezondheid
Financiële gezondheid criteriumcontroles 3/6
Tortilla Mexican Grill has a total shareholder equity of £2.4M and total debt of £7.2M, which brings its debt-to-equity ratio to 304%. Its total assets and total liabilities are £53.7M and £51.4M respectively. Tortilla Mexican Grill's EBIT is £1.6M making its interest coverage ratio 0.9. It has cash and short-term investments of £3.8M.
Belangrijke informatie
304.0%
Verhouding schuld/eigen vermogen
UK£7.16m
Schuld
Rente dekkingsratio | 0.9x |
Contant | UK£3.84m |
Aandelen | UK£2.35m |
Totaal verplichtingen | UK£51.38m |
Totaal activa | UK£53.74m |
Recente financiële gezondheidsupdates
Recent updates
Tortilla Mexican Grill plc's (LON:MEX) Shares Not Telling The Full Story
Jul 25Here's Why Tortilla Mexican Grill (LON:MEX) Has A Meaningful Debt Burden
Jun 27Tortilla Mexican Grill (LON:MEX) Is Experiencing Growth In Returns On Capital
Apr 18Returns At Tortilla Mexican Grill (LON:MEX) Are On The Way Up
Dec 21Are Investors Undervaluing Tortilla Mexican Grill plc (LON:MEX) By 45%?
Jan 10Estimating The Intrinsic Value Of Tortilla Mexican Grill plc (LON:MEX)
Oct 05Analyse van de financiële positie
Kortlopende schulden: MEX's short term assets (£7.1M) do not cover its short term liabilities (£14.2M).
Langlopende schulden: MEX's short term assets (£7.1M) do not cover its long term liabilities (£37.2M).
Schuld/ eigen vermogen geschiedenis en analyse
Schuldniveau: MEX's net debt to equity ratio (140.7%) is considered high.
Schuld verminderen: MEX's debt to equity ratio has reduced from 7296% to 304% over the past 5 years.
Balans
Analyse van de cashflow
Voor bedrijven die in het verleden gemiddeld verliesgevend zijn geweest, beoordelen we of ze ten minste 1 jaar kasstroom hebben.
Stabiele cash runway: Whilst unprofitable MEX has sufficient cash runway for more than 3 years if it maintains its current positive free cash flow level.
Voorspelling contante baan: MEX is unprofitable but has sufficient cash runway for more than 3 years, even with free cash flow being positive and shrinking by 8.6% per year.