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PLUR

Pluri·NASDAQ
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2.27 / 10
Underperform

Fundamental evaluation yields 2.3/10, indicating limited financial health. Key positives include Profit-MV and Cash-MV, but Current and Fixed assets turnover ratios are subpar. The company has 180 days to regain Nasdaq compliance or face delisting, heightening uncertainty.

Fundamental(2.27)SentimentTechnical

Analysis Checks(4/10)

Revenue-MV
Value-2.83
Score1/3
Weight12.88%
1M Return5.20%
Inventory turnover ratio
Value111.00
Score3/3
Weight11.32%
1M Return5.26%
Gross profit margin (%)
Value48.95
Score2/3
Weight3.19%
1M Return1.47%
Profit-MV
Value0.46
Score2/3
Weight19.28%
1M Return7.79%
PB-ROE
Value-0.30
Score1/3
Weight17.80%
1M Return7.02%
Current assets turnover ratio
Value0.05
Score0/3
Weight-3.53%
1M Return-1.88%
Fixed assets turnover ratio
Value0.17
Score1/3
Weight-3.06%
1M Return-1.64%
Asset-MV
Value-0.84
Score1/3
Weight23.37%
1M Return8.74%
Cash-MV
Value-0.07
Score2/3
Weight19.31%
1M Return7.73%
Net profit / Total profit (%)
Value99.98
Score0/3
Weight-0.57%
1M Return-0.30%
Is PLUR undervalued or overvalued?
  • PLUR scores 2.27/10 on fundamentals and holds a Premium valuation at present. Backed by its 0.00% ROE, -1760.63% net margin, -1.52 P/E ratio, -6.07 P/B ratio, and 23.84% earnings growth, these metrics solidify its Underperform investment rating.