176.45 - 178.59
86.62 - 184.48
124.91M / 173.95M (Avg.)
50.81 | 3.50
Gauges a company's financial stability and solvency. Value investors pay close attention to leverage and liquidity risk, ensuring the company has enough cushion to withstand downturns without impairing shareholder value.
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8.20
Net debt while MRVL maintains net cash position. John Neff would demand higher returns to justify the additional leverage risk.
-19.05
Negative coverage while MRVL shows 44.62. Joel Greenblatt would look for operating improvements and turnaround potential.
2.43
Current ratio 75-90% of MRVL's 3.10. Bruce Berkowitz would look for working capital optimization opportunities.
15.33%
Intangibles less than half of MRVL's 47.99%. Mohnish Pabrai would verify if this conservative approach sacrifices brand value opportunities.