0.06 - 0.07
0.06 - 0.24
1.89M / 3.59M (Avg.)
-1.60 | -0.04
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.
3.83
Positive P/E while SMR.AX shows losses. John Neff would investigate competitive advantages.
No Data
No Data available this quarter, please select a different quarter.
0.58
Similar P/B to SMR.AX's 0.76. Philip Fisher would investigate if similar multiples reflect similar asset efficiency.
-4.57
Both companies show negative FCF. Martin Whitman would check for industry-wide capital intensity issues.
-53.80
Both companies show negative operating cash flow. Martin Whitman would check for industry-wide operational issues.
0.58
Fair value ratio above 1.5x SMR.AX's 0.24. Michael Burry would check for mean reversion risks.
6.53%
Positive earnings while SMR.AX shows losses. John Neff would investigate earnings advantage.
-21.88%
Both companies show negative FCF. Martin Whitman would check for industry-wide capital intensity issues.