GNLN
Greenlane Holdings·NASDAQ
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0.84 / 10
Underperform
Fundamental analysis of Greenlane Holdings reveals significant weaknesses: a low 0.8/10 score, negative Profit-MV (-0.22) and Cash-MV (-0.13) indicating sub-par profit and cash generation relative to market value, and a high Asset-liability ratio (39.2%) suggesting elevated leverage. Only Non-current assets/Total assets (11.9%) is moderately favorable. These factors collectively point to fragile financial health and limited investment appeal.
Analysis Checks(1/10)
Revenue-MV
Value0.64
Score0/3
Weight21.47%
1M Return-15.77%
Value0.64
Score0/3
Weight21.47%
1M Return-15.77%
Asset-liability ratio (%)
Value39.22
Score0/3
Weight5.96%
1M Return-12.01%
Value39.22
Score0/3
Weight5.96%
1M Return-12.01%
Profit-MV
Value-0.22
Score1/3
Weight10.08%
1M Return-16.04%
Value-0.22
Score1/3
Weight10.08%
1M Return-16.04%
PB-ROE
Value-0.99
Score1/3
Weight4.71%
1M Return-16.14%
Value-0.99
Score1/3
Weight4.71%
1M Return-16.14%
Asset-MV
Value1.31
Score0/3
Weight14.14%
1M Return-27.70%
Value1.31
Score0/3
Weight14.14%
1M Return-27.70%
Net cash flow from operating activities per share (YoY growth rate %)
Value-2105.88
Score0/3
Weight8.07%
1M Return-11.58%
Value-2105.88
Score0/3
Weight8.07%
1M Return-11.58%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score1/3
Weight4.36%
1M Return-5.44%
Value100.00
Score1/3
Weight4.36%
1M Return-5.44%
Non-current assets / Total assets (%)
Value11.91
Score2/3
Weight3.00%
1M Return-3.63%
Value11.91
Score2/3
Weight3.00%
1M Return-3.63%
Net cash flow from operating activities (YoY growth rate %)
Value-4153.09
Score0/3
Weight8.62%
1M Return-13.01%
Value-4153.09
Score0/3
Weight8.62%
1M Return-13.01%
Cash-MV
Value-0.13
Score0/3
Weight19.59%
1M Return-25.59%
Value-0.13
Score0/3
Weight19.59%
1M Return-25.59%
Revenue-MV
Value0.64
Score0/3
Weight21.47%
1M Return-15.77%
Value0.64
Score0/3
Weight21.47%
1M Return-15.77%
Net cash flow from operating activities per share (YoY growth rate %)
Value-2105.88
Score0/3
Weight8.07%
1M Return-11.58%
Value-2105.88
Score0/3
Weight8.07%
1M Return-11.58%
Asset-liability ratio (%)
Value39.22
Score0/3
Weight5.96%
1M Return-12.01%
Value39.22
Score0/3
Weight5.96%
1M Return-12.01%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score1/3
Weight4.36%
1M Return-5.44%
Value100.00
Score1/3
Weight4.36%
1M Return-5.44%
Profit-MV
Value-0.22
Score1/3
Weight10.08%
1M Return-16.04%
Value-0.22
Score1/3
Weight10.08%
1M Return-16.04%
Non-current assets / Total assets (%)
Value11.91
Score2/3
Weight3.00%
1M Return-3.63%
Value11.91
Score2/3
Weight3.00%
1M Return-3.63%
PB-ROE
Value-0.99
Score1/3
Weight4.71%
1M Return-16.14%
Value-0.99
Score1/3
Weight4.71%
1M Return-16.14%
Net cash flow from operating activities (YoY growth rate %)
Value-4153.09
Score0/3
Weight8.62%
1M Return-13.01%
Value-4153.09
Score0/3
Weight8.62%
1M Return-13.01%
Asset-MV
Value1.31
Score0/3
Weight14.14%
1M Return-27.70%
Value1.31
Score0/3
Weight14.14%
1M Return-27.70%
Cash-MV
Value-0.13
Score0/3
Weight19.59%
1M Return-25.59%
Value-0.13
Score0/3
Weight19.59%
1M Return-25.59%
Is GNLN fundamentally strong?
- GNLN scores 0.84/10 on fundamentals and holds a Premium valuation at present. Backed by its -185.20% ROE, -532.77% net margin, -0.45 P/E ratio, 0.80 P/B ratio, and 110.13% earnings growth, these metrics solidify its Underperform investment rating.
