BGL
Blue Gold·NASDAQ
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0.88 / 10
Underperform
BGL's fundamentals are subpar, highlighted by a negative EBIT and a low fundamental score of 0.9/10. Key weaknesses include a negative ROA (-23.3%) and an annualized net profit margin on total assets of -46.6%, both in the lowest performance group. While the total assets turnover ratio is moderate (0.399), it is outweighed by other deficits, leading to an overall negative fundamental picture and an Underperform rating.
Analysis Checks(1/4)
ROA (%)
Value-23.31
Score0/3
Weight42.61%
1M Return-2.65%
Value-23.31
Score0/3
Weight42.61%
1M Return-2.65%
Annualized net profit margin on total assets (%)
Value-46.62
Score0/3
Weight42.61%
1M Return-2.65%
Value-46.62
Score0/3
Weight42.61%
1M Return-2.65%
Current assets turnover ratio
Value1.16
Score1/3
Weight10.69%
1M Return-0.63%
Value1.16
Score1/3
Weight10.69%
1M Return-0.63%
Total assets turnover ratio
Value0.40
Score2/3
Weight4.08%
1M Return-0.24%
Value0.40
Score2/3
Weight4.08%
1M Return-0.24%
ROA (%)
Value-23.31
Score0/3
Weight42.61%
1M Return-2.65%
Value-23.31
Score0/3
Weight42.61%
1M Return-2.65%
Current assets turnover ratio
Value1.16
Score1/3
Weight10.69%
1M Return-0.63%
Value1.16
Score1/3
Weight10.69%
1M Return-0.63%
Annualized net profit margin on total assets (%)
Value-46.62
Score0/3
Weight42.61%
1M Return-2.65%
Value-46.62
Score0/3
Weight42.61%
1M Return-2.65%
Total assets turnover ratio
Value0.40
Score2/3
Weight4.08%
1M Return-0.24%
Value0.40
Score2/3
Weight4.08%
1M Return-0.24%
Is BGL fundamentally strong?
- BGL scores 0.88/10 on fundamentals and holds a Premium valuation at present. Backed by its 0.00% ROE, 0.00% net margin, -5.36 P/E ratio, -5.56 P/B ratio, and 52.10% earnings growth, these metrics solidify its Underperform investment rating.
