DAVA
Endava·NYSE
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5.31 / 10
Netural
Fundamental score is 5.3/10, indicating average health. Strengths include a quick ratio of 2.28, strong interest coverage (4.26), and solid equity‑to‑liabilities (1.65). Weaknesses are high inventory turnover days (213) and a long operating cycle (~94 days). Overall, fundamentals are moderate.
Analysis Checks(7/10)
Asset-liability ratio (%)
Value37.70
Score3/3
Weight16.47%
1M Return5.95%
Value37.70
Score3/3
Weight16.47%
1M Return5.95%
Operating cycle
Value93.98
Score1/3
Weight-0.40%
1M Return-0.14%
Value93.98
Score1/3
Weight-0.40%
1M Return-0.14%
Quick ratio
Value2.28
Score2/3
Weight1.95%
1M Return0.74%
Value2.28
Score2/3
Weight1.95%
1M Return0.74%
Interest coverage ratio (EBIT / Interest expense) (%)
Value4.26
Score2/3
Weight2.08%
1M Return0.80%
Value4.26
Score2/3
Weight2.08%
1M Return0.80%
Inventory turnover days
Value213.26
Score1/3
Weight2.32%
1M Return0.88%
Value213.26
Score1/3
Weight2.32%
1M Return0.88%
Shareholders’ equity attributable to parent company / Total liabilities (%)
Value1.65
Score3/3
Weight14.83%
1M Return5.32%
Value1.65
Score3/3
Weight14.83%
1M Return5.32%
Days sales outstanding
Value93.98
Score3/3
Weight14.74%
1M Return5.51%
Value93.98
Score3/3
Weight14.74%
1M Return5.51%
Long-term debt to working capital ratio (%)
Value1.44
Score1/3
Weight0.95%
1M Return0.35%
Value1.44
Score1/3
Weight0.95%
1M Return0.35%
Asset-MV
Value-0.55
Score2/3
Weight40.19%
1M Return10.28%
Value-0.55
Score2/3
Weight40.19%
1M Return10.28%
Net profit / Total profit (%)
Value87.97
Score2/3
Weight6.88%
1M Return2.32%
Value87.97
Score2/3
Weight6.88%
1M Return2.32%
Asset-liability ratio (%)
Value37.70
Score3/3
Weight16.47%
1M Return5.95%
Value37.70
Score3/3
Weight16.47%
1M Return5.95%
Shareholders’ equity attributable to parent company / Total liabilities (%)
Value1.65
Score3/3
Weight14.83%
1M Return5.32%
Value1.65
Score3/3
Weight14.83%
1M Return5.32%
Operating cycle
Value93.98
Score1/3
Weight-0.40%
1M Return-0.14%
Value93.98
Score1/3
Weight-0.40%
1M Return-0.14%
Days sales outstanding
Value93.98
Score3/3
Weight14.74%
1M Return5.51%
Value93.98
Score3/3
Weight14.74%
1M Return5.51%
Quick ratio
Value2.28
Score2/3
Weight1.95%
1M Return0.74%
Value2.28
Score2/3
Weight1.95%
1M Return0.74%
Long-term debt to working capital ratio (%)
Value1.44
Score1/3
Weight0.95%
1M Return0.35%
Value1.44
Score1/3
Weight0.95%
1M Return0.35%
Interest coverage ratio (EBIT / Interest expense) (%)
Value4.26
Score2/3
Weight2.08%
1M Return0.80%
Value4.26
Score2/3
Weight2.08%
1M Return0.80%
Asset-MV
Value-0.55
Score2/3
Weight40.19%
1M Return10.28%
Value-0.55
Score2/3
Weight40.19%
1M Return10.28%
Inventory turnover days
Value213.26
Score1/3
Weight2.32%
1M Return0.88%
Value213.26
Score1/3
Weight2.32%
1M Return0.88%
Net profit / Total profit (%)
Value87.97
Score2/3
Weight6.88%
1M Return2.32%
Value87.97
Score2/3
Weight6.88%
1M Return2.32%
Is DAVA undervalued or overvalued?
- DAVA scores 5.31/10 on fundamentals and holds a Fair valuation at present. Backed by its -2.62% ROE, -0.24% net margin, -92.84 P/E ratio, 0.31 P/B ratio, and -173.56% earnings growth, these metrics solidify its Netural investment rating.
