Current Ratio
Updated 821h ago
Sector Performance
1th percentileC
0.05x
Sector Median
1.20x
Sector Avg
2.57x
Deep Analysis
The current ratio measures a company's ability to pay short-term debts with its short-term assets; a value of 0.05x means it has only $0.05 in current assets for every $1 of current liabilities.
This is far below the sector median of 1.21x, placing the stock in the 1st percentile among peers, indicating it is one of the worst-positioned companies in the sector for liquidity. No trend data is available—the year-over-year change, quarter-over-quarter change, and historical trend over the last eight quarters are all reported as N/A—so there is no information on whether this position is improving or worsening. The combination of an extremely low current ratio and a complete lack of trend data creates elevated short-term liquidity risk, as the company appears unable to cover near-term obligations, yet no trajectory can be assessed. This metric directly contradicts the overall NEUTRAL verdict because a current ratio this low typically signals high financial distress, making a neutral stance questionable without additional context.
Frequently Asked Questions
What does the Current Ratio tell investors about C?
Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.
How is the Current Ratio calculated?
Current Ratio is calculated as: Current Assets / Current Liabilities.
Who are C's closest peers by Current Ratio?
The closest peers by Current Ratio include: KEY (0.42x), DAL (0.42x), GEN (0.40x), CHTR (0.40x), USB (0.40x).
The Formula
Current Assets / Current Liabilities
Why It Matters
Measures short-term financial health. A ratio above 1.5 is generally healthy; below 1.0 may indicate liquidity stress.
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0.05x
Sector Median
1.20x
Sector Avg
2.57x
How C's Current Ratio compares to sector peers.
Also Analyze
Not financial advice. Research tool only. Data may be delayed.