BLIV
BeLive Holdings·NASDAQ
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8.21 / 10
Outperform
BLIV's fundamentals score 8.2/10, driven by an operating cycle of 89.6858 days (Group 3) and inventory turnover days of 384.2601 (Group 1). These factors contribute to a very promising financial evaluation. However, the net assets per share growth rate of -1115.3954% (Group 1) presents a significant weakness, highlighting balance-sheet strain that could offset otherwise strong metrics.
Analysis Checks(3/3)
Net assets per share (growth rate compared to beginning of year %)
Value-1115.40
Score2/3
Weight-2.96%
1M Return-0.10%
Value-1115.40
Score2/3
Weight-2.96%
1M Return-0.10%
Inventory turnover days
Value384.26
Score2/3
Weight-2.76%
1M Return-0.09%
Value384.26
Score2/3
Weight-2.76%
1M Return-0.09%
Operating cycle
Value89.69
Score3/3
Weight105.72%
1M Return3.03%
Value89.69
Score3/3
Weight105.72%
1M Return3.03%
Net assets per share (growth rate compared to beginning of year %)
Value-1115.40
Score2/3
Weight-2.96%
1M Return-0.10%
Value-1115.40
Score2/3
Weight-2.96%
1M Return-0.10%
Operating cycle
Value89.69
Score3/3
Weight105.72%
1M Return3.03%
Value89.69
Score3/3
Weight105.72%
1M Return3.03%
Inventory turnover days
Value384.26
Score2/3
Weight-2.76%
1M Return-0.09%
Value384.26
Score2/3
Weight-2.76%
1M Return-0.09%
Is BLIV undervalued or overvalued?
- BLIV scores 8.21/10 on fundamentals and holds a Discounted valuation at present. Backed by its -103.38% ROE, -425.47% net margin, -7.91 P/E ratio, 4.45 P/B ratio, and 41.63% earnings growth, these metrics solidify its Outperform investment rating.
