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.
2.71
P/E 50-75% of SMR.AX's 4.10. Mohnish Pabrai would examine if this pricing gap presents opportunity.
2.44
P/S 1.25-1.5x SMR.AX's 1.82. Martin Whitman would scrutinize if premium reflects better growth prospects.
1.98
P/B of 1.98 while SMR.AX has zero book value. Bruce Berkowitz would examine asset quality advantage.
-29.62
Negative FCF while SMR.AX shows P/FCF of 22.52. Joel Greenblatt would examine cash flow improvement potential.
-86.08
Negative operating cash flow while SMR.AX shows P/OCF of 10.77. Joel Greenblatt would examine operational improvement potential.
1.93
Fair value ratio of 1.93 while SMR.AX has zero value. Bruce Berkowitz would examine valuation methodology.
9.21%
Earnings yield exceeding 1.5x SMR.AX's 6.09%. David Dodd would verify if earnings quality justifies this premium.
-3.30%
Negative FCF while SMR.AX shows yield of 4.44%. Joel Greenblatt would examine cash flow improvement potential.