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AVA

Avista·NYSE
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3.55 / 10
Netural

Fundamental rating is neutral with a 3.5/10 quality score. Strengths include low long‑term debt to working capital and solid profit‑to‑market metrics. Weaknesses are low Asset‑MV, Revenue‑MV and cash position, resulting in overall cautious valuation.

Fundamental(3.55)SentimentTechnical

Analysis Checks(4/10)

Revenue-MV
Value0.36
Score0/3
Weight3.17%
1M Return0.77%
ROA (%)
Value2.37
Score0/3
Weight4.61%
1M Return1.26%
Net profit attributable to parent company shareholders / Net profit (%)
Value100.00
Score1/3
Weight6.50%
1M Return1.61%
Equity ratio (Total liabilities / Shareholders’ equity attributable to parent company) (%)
Value2.09
Score0/3
Weight3.99%
1M Return1.02%
Profit-MV
Value1.02
Score3/3
Weight24.74%
1M Return4.25%
Net income-Revenue
Value0.06
Score2/3
Weight17.55%
1M Return3.40%
Cash-UP
Value-0.97
Score2/3
Weight28.15%
1M Return4.91%
Long-term debt to working capital ratio (%)
Value6.39
Score3/3
Weight9.72%
1M Return2.27%
Annualized net profit margin on total assets (%)
Value2.37
Score0/3
Weight4.61%
1M Return1.26%
Asset-MV
Value0.82
Score0/3
Weight-3.05%
1M Return-0.89%
Is AVA fundamentally strong?
  • AVA scores 3.55/10 on fundamentals and holds a Fair valuation at present. Backed by its 7.28% ROE, 9.83% net margin, 17.68 P/E ratio, 1.26 P/B ratio, and 3.93% earnings growth, these metrics solidify its Netural investment rating.