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VZLA

Vizsla Silver·AMEX
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3.47 / 10
Netural

Fundamental score of 3.5/10 indicates weak quality. Bullish factors such as Cash-MV and Annualized net profit margin on total assets (%) are outweighed by risks in Profit-MV and Net income-Revenue. Overall, the company's financial health is suboptimal, warranting caution.

Fundamental(3.47)SentimentTechnical

Analysis Checks(5/10)

Revenue-MV
Value0.16
Score3/3
Weight24.61%
1M Return9.84%
Profit-MV
Value0.44
Score1/3
Weight10.62%
1M Return4.87%
Net income-Revenue
Value0.15
Score0/3
Weight10.09%
1M Return4.61%
Current assets turnover ratio
Value2.56
Score2/3
Weight5.90%
1M Return2.89%
Cash-UP
Value-0.03
Score1/3
Weight1.72%
1M Return0.93%
Annualized net profit margin on total assets (%)
Value-2.28
Score3/3
Weight7.13%
1M Return3.25%
ROE (diluted) (%)
Value-1.92
Score1/3
Weight-2.79%
1M Return-1.37%
Total assets turnover ratio
Value0.93
Score1/3
Weight-1.69%
1M Return-1.01%
Asset-MV
Value-1.87
Score2/3
Weight25.68%
1M Return9.40%
Cash-MV
Value0.14
Score2/3
Weight18.74%
1M Return7.64%
Is VZLA fundamentally strong?
  • VZLA scores 3.47/10 on fundamentals and holds a Fair valuation at present. Backed by its -1.01% ROE, 0.00% net margin, -141.31 P/E ratio, 3.62 P/B ratio, and -94.55% earnings growth, these metrics solidify its Netural investment rating.