BOXL
Boxlight·NASDAQ
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0.77 / 10
Underperform
BOXL's fundamental profile is fragile, with a composite score of just 0.77/10. Key red flags include a high Long-term debt to working capital ratio (14.54%), a negative PB-ROE (-1.00), and a Cash-UP deficit (-0.81). These factors place the stock in low-performing historical quartiles, reinforcing a constrained investment thesis.
Analysis Checks(3/10)
Revenue-MV
Value2.90
Score0/3
Weight22.98%
1M Return-12.39%
Value2.90
Score0/3
Weight22.98%
1M Return-12.39%
Net income-Revenue
Value-0.17
Score2/3
Weight-0.53%
1M Return0.22%
Value-0.17
Score2/3
Weight-0.53%
1M Return0.22%
Net cash flow from operating activities (YoY growth rate %)
Value13.45
Score0/3
Weight10.97%
1M Return-4.17%
Value13.45
Score0/3
Weight10.97%
1M Return-4.17%
Cash-UP
Value-0.81
Score1/3
Weight16.38%
1M Return-9.39%
Value-0.81
Score1/3
Weight16.38%
1M Return-9.39%
Annualized return on total assets (%)
Value-8.03
Score0/3
Weight16.73%
1M Return-7.88%
Value-8.03
Score0/3
Weight16.73%
1M Return-7.88%
Profit-MV
Value0.46
Score0/3
Weight10.21%
1M Return-5.02%
Value0.46
Score0/3
Weight10.21%
1M Return-5.02%
PB-ROE
Value-1.00
Score0/3
Weight17.13%
1M Return-11.81%
Value-1.00
Score0/3
Weight17.13%
1M Return-11.81%
Current assets turnover ratio
Value1.11
Score0/3
Weight7.75%
1M Return-3.43%
Value1.11
Score0/3
Weight7.75%
1M Return-3.43%
Long-term debt to working capital ratio (%)
Value14.54
Score2/3
Weight1.82%
1M Return-0.62%
Value14.54
Score2/3
Weight1.82%
1M Return-0.62%
Net profit / Total profit (%)
Value99.04
Score2/3
Weight-3.44%
1M Return1.13%
Value99.04
Score2/3
Weight-3.44%
1M Return1.13%
Revenue-MV
Value2.90
Score0/3
Weight22.98%
1M Return-12.39%
Value2.90
Score0/3
Weight22.98%
1M Return-12.39%
Profit-MV
Value0.46
Score0/3
Weight10.21%
1M Return-5.02%
Value0.46
Score0/3
Weight10.21%
1M Return-5.02%
Net income-Revenue
Value-0.17
Score2/3
Weight-0.53%
1M Return0.22%
Value-0.17
Score2/3
Weight-0.53%
1M Return0.22%
PB-ROE
Value-1.00
Score0/3
Weight17.13%
1M Return-11.81%
Value-1.00
Score0/3
Weight17.13%
1M Return-11.81%
Net cash flow from operating activities (YoY growth rate %)
Value13.45
Score0/3
Weight10.97%
1M Return-4.17%
Value13.45
Score0/3
Weight10.97%
1M Return-4.17%
Current assets turnover ratio
Value1.11
Score0/3
Weight7.75%
1M Return-3.43%
Value1.11
Score0/3
Weight7.75%
1M Return-3.43%
Cash-UP
Value-0.81
Score1/3
Weight16.38%
1M Return-9.39%
Value-0.81
Score1/3
Weight16.38%
1M Return-9.39%
Long-term debt to working capital ratio (%)
Value14.54
Score2/3
Weight1.82%
1M Return-0.62%
Value14.54
Score2/3
Weight1.82%
1M Return-0.62%
Annualized return on total assets (%)
Value-8.03
Score0/3
Weight16.73%
1M Return-7.88%
Value-8.03
Score0/3
Weight16.73%
1M Return-7.88%
Net profit / Total profit (%)
Value99.04
Score2/3
Weight-3.44%
1M Return1.13%
Value99.04
Score2/3
Weight-3.44%
1M Return1.13%
Is BOXL undervalued or overvalued?
- BOXL scores 0.77/10 on fundamentals and holds a Premium valuation at present. Backed by its -122.45% ROE, -28.94% net margin, -0.05 P/E ratio, 0.17 P/B ratio, and -138.97% earnings growth, these metrics solidify its Underperform investment rating.
