1.90 - 2.15
0.48 - 2.54
9.88M / 3.06M (Avg.)
-0.59 | -3.40
Highlights the firm's ability to meet near-term obligations and cover interest expenses. For conservative value investors, strong liquidity and coverage metrics are critical to avoid distress or forced dilution.
2.62
Current Ratio near Drug Manufacturers - Specialty & Generic median of 2.71. Charlie Munger would see it as typical for the industry.
1.61
Quick Ratio near Drug Manufacturers - Specialty & Generic median of 1.60. Charlie Munger could see typical near-cash readiness for the sector.
0.76
Cash Ratio near Drug Manufacturers - Specialty & Generic median of 0.73. Charlie Munger would see it as typical for the sector’s operating style.
-74.74
Negative interest coverage while Drug Manufacturers - Specialty & Generic median is 0.00. Seth Klarman would scrutinize earnings quality and look for debt restructuring catalysts.
-0.24
Negative short-term coverage while Drug Manufacturers - Specialty & Generic median is 0.54. Seth Klarman would scrutinize cash flow quality and look for immediate refinancing solutions.