0.06 - 0.07
0.06 - 0.24
1.89M / 3.59M (Avg.)
-1.60 | -0.04
Reveals whether the business's core operations generate sufficient cash to cover expenses, fund growth, and return capital to shareholders. Sustainable free cash flow is often a key indicator of long-term value creation.
0.06
OCF/share below 50% of SMR.AX's 0.41. Michael Burry might suspect deeper operational or competitive issues.
0.05
FCF/share below 50% of SMR.AX's 0.24. Michael Burry would suspect deeper structural or competitive pressures.
8.82%
Capex/OCF below 50% of SMR.AX's 42.11%. David Dodd would see if the firm’s model requires far less capital.
0.57
Below 0.5x SMR.AX's 2.68. Michael Burry would expect an eventual correction in reported profits.
20.16%
50–75% of SMR.AX's 27.04%. Martin Whitman would question if there's a fundamental weakness in collection or margin.