$0.7094
$0.7199
Analyze two stocks side-by-side
Score Card
Bad
Warnings for BYND
Valuation Model
Fundamental Score
Score Breakdowns
Profitability
1.50
Metrics | Value | Score |
|---|---|---|
Gross Margin | 4.04% | Bad |
Operating Margin | -82.06% | Very Bad |
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Management
1.80
Metrics | Value | Score |
|---|---|---|
Return on Invested Capital | -76.77% | Very Bad |
Return on Capital Employed | -46.22% | Very Bad |
Return on Equity | -960.23% | Very Bad |
Return on Assets | 34.94% | Very Good |
SBC as % of Revenue | 11.95% | Very Bad |
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Growth
1.00
Metrics | Value | Score |
|---|---|---|
Revenue Decreasing | -17.09% | Very Bad |
Gross Profit Decreasing | -71.07% | Very Bad |
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Financial Health
2.67
Metrics | Value | Score |
|---|---|---|
Cash Runway | 17.08 months | Average |
Current Ratio | 2.85 | Very Good |
Cash More Than Current Liabilities | 175.20% | Good |
Book Value Negative | -$21.08M | Bad |
Shares Increasing | 497.51% | Very Bad |
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Analyst
2.25
Metrics | Value | Score |
|---|---|---|
Next Year Projected EPS | -179.01% | Very Bad |
Next Year Projected Revenue | -5.85% | Bad |
Average Analyst Price Target | 136.52% | Very Good |
Average Analyst Rating | 2.50 | Very Bad |
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Valuation Model
2.33
Metrics | Value | Score |
|---|---|---|
FCF Risk Premium | 0.00 | Very Bad |
Earnings Risk Premium | 12.17 | Very Good |
P/GP of 34.18 is above 5-Year Avg 17.44 | 95.99% | Very Bad |
