This company has been acquired
Augmedix Bilanço Sağlığı
Finansal Sağlık kriter kontrolleri 6/6
Augmedix has a total shareholder equity of $10.5M and total debt of $20.5M, which brings its debt-to-equity ratio to 196.1%. Its total assets and total liabilities are $53.7M and $43.2M respectively.
Anahtar bilgiler
196.1%
Borç/özkaynak oranı
US$20.54m
Borç
Faiz karşılama oranı | n/a |
Nakit | US$28.22m |
Eşitlik | US$10.47m |
Toplam yükümlülükler | US$43.20m |
Toplam varlıklar | US$53.67m |
Son finansal sağlık güncellemeleri
Recent updates
Augmedix, Inc. (NASDAQ:AUGX) Stock's 38% Dive Might Signal An Opportunity But It Requires Some Scrutiny
Jun 19Is Augmedix, Inc. (NASDAQ:AUGX) Trading At A 40% Discount?
May 21Augmedix, Inc. (NASDAQ:AUGX) Shares Slammed 29% But Getting In Cheap Might Be Difficult Regardless
Apr 25Augmedix: Secular AI Tailwinds, But Still Unattractive Risk-Reward
Mar 24Augmedix, Inc. (NASDAQ:AUGX) Just Released Its Third-Quarter Results And Analysts Are Updating Their Estimates
Nov 09Augmedix reports Q2 results
Aug 08Augmedix: A Splendid Long-Term Investing Opportunity
Jan 21Finansal Durum Analizi
Kısa Vadeli Yükümlülükler: AUGX's short term assets ($39.9M) exceed its short term liabilities ($24.0M).
Uzun Vadeli Yükümlülükler: AUGX's short term assets ($39.9M) exceed its long term liabilities ($19.2M).
Borç-Özkaynak Tarihçesi ve Analizi
Borç Seviyesi: AUGX has more cash than its total debt.
Borcun Azaltılması: AUGX had negative shareholder equity 5 years ago, but is now positive and has therefore improved.
Bilanço
Nakit Pist Analizi
Geçmişte ortalama olarak zarar eden şirketler için, en az 1 yıllık nakit akışına sahip olup olmadıklarını değerlendiriyoruz.
İstikrarlı Nakit Pisti: AUGX has sufficient cash runway for more than a year based on its current free cash flow.
Tahmini Nakit Akışı: AUGX has sufficient cash runway for 1.5 years if free cash flow continues to reduce at historical rates of 3.8% each year.