1.52 - 1.58
1.19 - 3.37
354.5K / 984.1K (Avg.)
-1.64 | -0.94
These metrics indicate whether the stock trades cheaply or expensively relative to its fundamentals. Value investors use them to find mispricings—buying stocks that appear undervalued, with solid long-term prospects and limited downside risk.
-1.29
Both companies show losses. Martin Whitman would check if industry conditions create special situations.
5.15
P/S above 1.5x MAXN's 1.29. Michael Burry would check for mean reversion risks.
66.32
Positive equity while MAXN shows negative equity. John Neff would investigate balance sheet advantage.
-14.98
Both companies show negative FCF. Martin Whitman would check for industry-wide capital intensity issues.
-18.93
Both companies show negative operating cash flow. Martin Whitman would check for industry-wide operational issues.
66.32
Positive fair value while MAXN shows negative value. John Neff would investigate valuation advantage.
-19.35%
Both companies show losses. Martin Whitman would check for industry-wide issues.
-6.68%
Both companies show negative FCF. Martin Whitman would check for industry-wide capital intensity issues.