AIM Vaccine Bilanço Sağlığı

Finansal Sağlık kriter kontrolleri 4/6

AIM Vaccine has a total shareholder equity of CN¥3.7B and total debt of CN¥1.9B, which brings its debt-to-equity ratio to 51.8%. Its total assets and total liabilities are CN¥7.3B and CN¥3.6B respectively.

Anahtar bilgiler

51.8%

Borç/özkaynak oranı

CN¥1.94b

Borç

Faiz karşılama oranın/a
NakitCN¥655.34m
EşitlikCN¥3.74b
Toplam yükümlülüklerCN¥3.58b
Toplam varlıklarCN¥7.32b

Son finansal sağlık güncellemeleri

Güncelleme yok

Recent updates

Why Investors Shouldn't Be Surprised By AIM Vaccine Co., Ltd.'s (HKG:6660) 27% Share Price Plunge

Aug 24
Why Investors Shouldn't Be Surprised By AIM Vaccine Co., Ltd.'s (HKG:6660) 27% Share Price Plunge

It's A Story Of Risk Vs Reward With AIM Vaccine Co., Ltd. (HKG:6660)

May 29
It's A Story Of Risk Vs Reward With AIM Vaccine Co., Ltd. (HKG:6660)

Investor Optimism Abounds AIM Vaccine Co., Ltd. (HKG:6660) But Growth Is Lacking

Jun 09
Investor Optimism Abounds AIM Vaccine Co., Ltd. (HKG:6660) But Growth Is Lacking

Finansal Durum Analizi

Kısa Vadeli Yükümlülükler: 6660's short term assets (CN¥2.5B) do not cover its short term liabilities (CN¥2.9B).

Uzun Vadeli Yükümlülükler: 6660's short term assets (CN¥2.5B) exceed its long term liabilities (CN¥665.1M).


Borç-Özkaynak Tarihçesi ve Analizi

Borç Seviyesi: 6660's net debt to equity ratio (34.3%) is considered satisfactory.

Borcun Azaltılması: Insufficient data to determine if 6660's debt to equity ratio has reduced over the past 5 years.


Bilanço


Nakit Pist Analizi

Geçmişte ortalama olarak zarar eden şirketler için, en az 1 yıllık nakit akışına sahip olup olmadıklarını değerlendiriyoruz.

İstikrarlı Nakit Pisti: 6660 has sufficient cash runway for more than a year based on its current free cash flow.

Tahmini Nakit Akışı: 6660 has sufficient cash runway for 1.1 years if free cash flow continues to reduce at historical rates of 8% each year.


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