GIB
CGI·NYSE
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4.34 / 10
Netural
Fundamental health is mixed, scoring 4.3/10. Inventory turnover days (34.86) and operating cycle (68.9) are favorable, while long‑term debt to working capital (6.45) and current assets turnover (3.22) raise concerns. Asset‑MV is negative, but profit‑MV is modestly positive and net profit margin is strong at 74%.
Analysis Checks(6/10)
Asset-liability ratio (%)
Value47.33
Score1/3
Weight-0.65%
1M Return-0.20%
Value47.33
Score1/3
Weight-0.65%
1M Return-0.20%
Days sales outstanding
Value34.07
Score0/3
Weight-3.04%
1M Return-0.94%
Value34.07
Score0/3
Weight-3.04%
1M Return-0.94%
Current assets turnover ratio
Value3.22
Score0/3
Weight-6.44%
1M Return-1.96%
Value3.22
Score0/3
Weight-6.44%
1M Return-1.96%
Asset-MV
Value-0.55
Score2/3
Weight75.50%
1M Return14.68%
Value-0.55
Score2/3
Weight75.50%
1M Return14.68%
Inventory turnover days
Value34.86
Score2/3
Weight12.74%
1M Return3.65%
Value34.86
Score2/3
Weight12.74%
1M Return3.65%
Operating cycle
Value68.93
Score2/3
Weight0.93%
1M Return0.26%
Value68.93
Score2/3
Weight0.93%
1M Return0.26%
Profit-MV
Value0.10
Score3/3
Weight10.04%
1M Return2.73%
Value0.10
Score3/3
Weight10.04%
1M Return2.73%
Long-term debt to working capital ratio (%)
Value6.45
Score1/3
Weight2.48%
1M Return0.73%
Value6.45
Score1/3
Weight2.48%
1M Return0.73%
Equity multiplier (DuPont analysis %)
Value1.84
Score2/3
Weight4.02%
1M Return1.23%
Value1.84
Score2/3
Weight4.02%
1M Return1.23%
Net profit / Total profit (%)
Value73.96
Score2/3
Weight4.41%
1M Return1.24%
Value73.96
Score2/3
Weight4.41%
1M Return1.24%
Asset-liability ratio (%)
Value47.33
Score1/3
Weight-0.65%
1M Return-0.20%
Value47.33
Score1/3
Weight-0.65%
1M Return-0.20%
Operating cycle
Value68.93
Score2/3
Weight0.93%
1M Return0.26%
Value68.93
Score2/3
Weight0.93%
1M Return0.26%
Days sales outstanding
Value34.07
Score0/3
Weight-3.04%
1M Return-0.94%
Value34.07
Score0/3
Weight-3.04%
1M Return-0.94%
Profit-MV
Value0.10
Score3/3
Weight10.04%
1M Return2.73%
Value0.10
Score3/3
Weight10.04%
1M Return2.73%
Current assets turnover ratio
Value3.22
Score0/3
Weight-6.44%
1M Return-1.96%
Value3.22
Score0/3
Weight-6.44%
1M Return-1.96%
Long-term debt to working capital ratio (%)
Value6.45
Score1/3
Weight2.48%
1M Return0.73%
Value6.45
Score1/3
Weight2.48%
1M Return0.73%
Asset-MV
Value-0.55
Score2/3
Weight75.50%
1M Return14.68%
Value-0.55
Score2/3
Weight75.50%
1M Return14.68%
Equity multiplier (DuPont analysis %)
Value1.84
Score2/3
Weight4.02%
1M Return1.23%
Value1.84
Score2/3
Weight4.02%
1M Return1.23%
Inventory turnover days
Value34.86
Score2/3
Weight12.74%
1M Return3.65%
Value34.86
Score2/3
Weight12.74%
1M Return3.65%
Net profit / Total profit (%)
Value73.96
Score2/3
Weight4.41%
1M Return1.24%
Value73.96
Score2/3
Weight4.41%
1M Return1.24%
Is GIB fundamentally strong?
- GIB scores 4.34/10 on fundamentals and holds a Fair valuation at present. Backed by its 4.37% ROE, 10.27% net margin, 12.93 P/E ratio, 2.15 P/B ratio, and -1.36% earnings growth, these metrics solidify its Netural investment rating.
