Bu sayfanın çevirisi deneyseldir ve geliştirilme aşamasındadır. imlerinizi bekliyoruz!

AEye Bilanço Sağlığı

Finansal Sağlık kriter kontrolleri 5/6

AEye has a total shareholder equity of $20.8M and total debt of $146.0K, which brings its debt-to-equity ratio to 0.7%. Its total assets and total liabilities are $44.0M and $23.2M respectively.

Anahtar bilgiler

0.7%

Borç/özkaynak oranı

US$146.00k

Borç

Faiz karşılama oranın/a
NakitUS$27.99m
EşitlikUS$20.81m
Toplam yükümlülüklerUS$23.20m
Toplam varlıklarUS$44.01m

Son finansal sağlık güncellemeleri

We're Not Very Worried About AEye's (NASDAQ:LIDR) Cash Burn Rate

Aug 16
We're Not Very Worried About AEye's (NASDAQ:LIDR) Cash Burn Rate

Recent updates

We're Not Very Worried About AEye's (NASDAQ:LIDR) Cash Burn Rate

Aug 16
We're Not Very Worried About AEye's (NASDAQ:LIDR) Cash Burn Rate

AEye Non-GAAP EPS of -$0.13 beats by $0.01, revenue of $0.7M misses by $0.13M

Aug 15

AEye Inc. Holds Long-Term Potential

Dec 21

Finansal Durum Analizi

Kısa Vadeli Yükümlülükler: LIDR's short term assets ($30.2M) exceed its short term liabilities ($8.9M).

Uzun Vadeli Yükümlülükler: LIDR's short term assets ($30.2M) exceed its long term liabilities ($14.3M).


Borç-Özkaynak Tarihçesi ve Analizi

Borç Seviyesi: LIDR has more cash than its total debt.

Borcun Azaltılması: Insufficient data to determine if LIDR'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: LIDR has sufficient cash runway for 10 months based on last reported free cash flow, but has since raised additional capital.

Tahmini Nakit Akışı: LIDR is forecast to have sufficient cash runway for 8 months based on free cash flow estimates, but has since raised additional capital.


Sağlıklı şirketleri keşfedin