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SVAC

Spring Valley III·NASDAQ
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9.49 / 10
Outperform

The fundamental framework scores 9.5/10 - superior quality. Supporting factors: Fixed assets turnover ratio and Current assets / Total assets (%), despite concerns regarding Net income-Revenue and Current liabilities / Total liabilities (%). Overall perspective: very promising.

Fundamental(9.49)SentimentTechnical

Analysis Checks(2/10)

Revenue-MV
Value-0.26
Score1/3
Weight24.30%
1M Return0.66%
Current liabilities / Total liabilities (%)
Value1.37
Score1/3
Weight60.59%
1M Return1.49%
Net income-Revenue
Value-0.17
Score1/3
Weight34.07%
1M Return0.82%
Basic earnings per share (YoY growth rate %)
Value-3366059.54
Score0/3
Weight22.51%
1M Return0.58%
Rate of return on total assets (%)
Value-0.07
Score0/3
Weight-103.58%
1M Return-3.85%
Fixed assets turnover ratio
Value7979.42
Score2/3
Weight49.21%
1M Return1.25%
Annualized return on total assets (%)
Value-0.09
Score0/3
Weight-103.58%
1M Return-3.85%
Diluted earnings per share (YoY growth rate %)
Value-3430155.20
Score0/3
Weight35.03%
1M Return0.91%
Asset-MV
Value-0.50
Score0/3
Weight-8.44%
1M Return-0.23%
Current assets / Total assets (%)
Value0.52
Score3/3
Weight89.89%
1M Return2.31%
Is SVAC undervalued or overvalued?
  • SVAC scores 9.49/10 on fundamentals and holds a Discounted valuation at present. Backed by its 0.00% ROE, 0.00% net margin, 0.00 P/E ratio, 1.47 P/B ratio, and 0.00% earnings growth, these metrics solidify its Outperform investment rating.