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HYNE

Hoyne Bancorp·NASDAQ
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5.84 / 10
Netural

HYNE's fundamental standing is fair (5.8/10). Bullish factors include strong Cash-UP and Profit-MV scores, yet risks emerge from a negative year-over-year growth in net cash flow from operating activities per share and a suboptimal interest-coverage ratio (EBIT/Interest expense). The PB-ROE factor sits at 31.3825, placing it in the higher quartile with historically solid returns. Asset-MV and Revenue-MV are in the mid-range, while Cash-MV shows a slight edge. Net income-Revenue is positive but modest. These mixed signals justify a neutral-to-positive bias, provided liquidity and coverage ratios improve.

Fundamental(5.84)SentimentTechnical

Analysis Checks(7/10)

Revenue-MV
Value-0.26
Score3/3
Weight14.27%
1M Return10.49%
Net cash flow from operating activities per share (YoY growth rate %)
Value18.75
Score1/3
Weight2.09%
1M Return2.11%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score1/3
Weight2.19%
1M Return2.26%
Profit-MV
Value-0.15
Score3/3
Weight12.68%
1M Return9.61%
Net income-Revenue
Value1.98
Score2/3
Weight7.06%
1M Return6.13%
PB-ROE
Value31.38
Score3/3
Weight11.67%
1M Return9.23%
Cash-UP
Value0.53
Score3/3
Weight8.97%
1M Return7.53%
Interest coverage ratio (EBIT / Interest expense) (%)
Value-167.64
Score1/3
Weight2.59%
1M Return2.65%
Asset-MV
Value-0.45
Score2/3
Weight17.83%
1M Return13.24%
Cash-MV
Value0.12
Score3/3
Weight20.65%
1M Return13.08%
Is HYNE fundamentally strong?
  • HYNE scores 5.84/10 on fundamentals and holds a Fair valuation at present. Backed by its -0.05% ROE, -5.09% net margin, -178.09 P/E ratio, 1.30 P/B ratio, and 0.00% earnings growth, these metrics solidify its Netural investment rating.