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SPKL

Spark I Acquisition·NASDAQ
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3.70 / 10
Netural

Fundamental rating is Neutral with a 3.7/10 score. Strengths include high inventory turnover (47.95), fixed‑asset turnover (7895.57) and gross margin (36.9%). Weaknesses are low ROA (0.65%), negative EPS growth (‑79.9%) and poor current ratio (0.17).

Fundamental(3.7)SentimentTechnical

Analysis Checks(5/10)

Inventory turnover ratio
Value47.95
Score2/3
Weight13.48%
1M Return1.58%
Gross profit margin (%)
Value36.92
Score2/3
Weight13.77%
1M Return1.58%
Quick ratio
Value2.20
Score2/3
Weight13.46%
1M Return1.58%
Rate of return on total assets (%)
Value0.65
Score1/3
Weight4.90%
1M Return0.56%
Fixed assets turnover ratio
Value7895.57
Score3/3
Weight24.29%
1M Return2.82%
Annualized return on total assets (%)
Value0.86
Score1/3
Weight4.90%
1M Return0.56%
Diluted earnings per share (YoY growth rate %)
Value-79.86
Score0/3
Weight7.73%
1M Return0.93%
Asset-MV
Value-0.49
Score0/3
Weight-9.73%
1M Return-1.25%
Current assets / Total assets (%)
Value2.51
Score1/3
Weight13.17%
1M Return1.50%
Current ratio
Value0.17
Score2/3
Weight14.03%
1M Return1.60%
Is SPKL undervalued or overvalued?
  • SPKL scores 3.70/10 on fundamentals and holds a Fair valuation at present. Backed by its 0.49% ROE, 0.00% net margin, 334.14 P/E ratio, 5.45 P/B ratio, and -87.96% earnings growth, these metrics solidify its Netural investment rating.