PL
Planet Labs·NYSE
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5.01 / 10
Netural
Fundamental metrics rate neutral at about 5/10. Asset‑MV is negative (‑0.55) placing it in a lower quality tier, while Profit‑MV is modestly positive. Inventory turnover days are high (210), and ratios such as current‑asset turnover (0.73) and equity multiplier (1.39) suggest modest efficiency.
Analysis Checks(10/10)
Asset-liability ratio (%)
Value30.37
Score3/3
Weight11.91%
1M Return5.84%
Value30.37
Score3/3
Weight11.91%
1M Return5.84%
Days sales outstanding
Value73.04
Score2/3
Weight3.82%
1M Return1.84%
Value73.04
Score2/3
Weight3.82%
1M Return1.84%
Current assets turnover ratio
Value0.73
Score3/3
Weight9.31%
1M Return4.61%
Value0.73
Score3/3
Weight9.31%
1M Return4.61%
Asset-MV
Value-0.55
Score2/3
Weight43.33%
1M Return14.68%
Value-0.55
Score2/3
Weight43.33%
1M Return14.68%
Inventory turnover days
Value210.83
Score2/3
Weight7.31%
1M Return3.65%
Value210.83
Score2/3
Weight7.31%
1M Return3.65%
Operating cycle
Value73.04
Score2/3
Weight0.54%
1M Return0.26%
Value73.04
Score2/3
Weight0.54%
1M Return0.26%
Profit-MV
Value0.68
Score2/3
Weight-0.36%
1M Return-0.21%
Value0.68
Score2/3
Weight-0.36%
1M Return-0.21%
Long-term debt to working capital ratio (%)
Value0.31
Score3/3
Weight9.37%
1M Return4.66%
Value0.31
Score3/3
Weight9.37%
1M Return4.66%
Equity multiplier (DuPont analysis %)
Value1.39
Score2/3
Weight2.31%
1M Return1.23%
Value1.39
Score2/3
Weight2.31%
1M Return1.23%
Net profit / Total profit (%)
Value102.04
Score3/3
Weight12.47%
1M Return6.74%
Value102.04
Score3/3
Weight12.47%
1M Return6.74%
Asset-liability ratio (%)
Value30.37
Score3/3
Weight11.91%
1M Return5.84%
Value30.37
Score3/3
Weight11.91%
1M Return5.84%
Operating cycle
Value73.04
Score2/3
Weight0.54%
1M Return0.26%
Value73.04
Score2/3
Weight0.54%
1M Return0.26%
Days sales outstanding
Value73.04
Score2/3
Weight3.82%
1M Return1.84%
Value73.04
Score2/3
Weight3.82%
1M Return1.84%
Profit-MV
Value0.68
Score2/3
Weight-0.36%
1M Return-0.21%
Value0.68
Score2/3
Weight-0.36%
1M Return-0.21%
Current assets turnover ratio
Value0.73
Score3/3
Weight9.31%
1M Return4.61%
Value0.73
Score3/3
Weight9.31%
1M Return4.61%
Long-term debt to working capital ratio (%)
Value0.31
Score3/3
Weight9.37%
1M Return4.66%
Value0.31
Score3/3
Weight9.37%
1M Return4.66%
Asset-MV
Value-0.55
Score2/3
Weight43.33%
1M Return14.68%
Value-0.55
Score2/3
Weight43.33%
1M Return14.68%
Equity multiplier (DuPont analysis %)
Value1.39
Score2/3
Weight2.31%
1M Return1.23%
Value1.39
Score2/3
Weight2.31%
1M Return1.23%
Inventory turnover days
Value210.83
Score2/3
Weight7.31%
1M Return3.65%
Value210.83
Score2/3
Weight7.31%
1M Return3.65%
Net profit / Total profit (%)
Value102.04
Score3/3
Weight12.47%
1M Return6.74%
Value102.04
Score3/3
Weight12.47%
1M Return6.74%
Is PL undervalued or overvalued?
- PL scores 5.01/10 on fundamentals and holds a Fair valuation at present. Backed by its -78.40% ROE, -80.22% net margin, -50.81 P/E ratio, 66.56 P/B ratio, and -90.48% earnings growth, these metrics solidify its Netural investment rating.
