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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.

Fundamental(5.01)SentimentTechnical

Analysis Checks(10/10)

Asset-liability ratio (%)
Value30.37
Score3/3
Weight11.91%
1M Return5.84%
Operating cycle
Value73.04
Score2/3
Weight0.54%
1M Return0.26%
Days sales outstanding
Value73.04
Score2/3
Weight3.82%
1M Return1.84%
Profit-MV
Value0.68
Score2/3
Weight-0.36%
1M Return-0.21%
Current assets turnover ratio
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%
Asset-MV
Value-0.55
Score2/3
Weight43.33%
1M Return14.68%
Equity multiplier (DuPont analysis %)
Value1.39
Score2/3
Weight2.31%
1M Return1.23%
Inventory turnover days
Value210.83
Score2/3
Weight7.31%
1M Return3.65%
Net profit / Total profit (%)
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.