EQTNEUTRAL

Current Ratio

0.66x

Updated 78h ago

Sector Performance

12th percentile

EQT

0.66x

Sector Median

1.20x

Sector Avg

2.57x

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Deep Analysis

The current ratio measures a company’s ability to pay short-term obligations with its short-term assets; a value of **0.66x** means EQT has only $0.66 in current assets for every $1.00 of short-term liabilities, indicating a tight liquidity position.

Compared to sector peers, the ratio sits well below the **1.20x** median, placing EQT in the **12th percentile** — meaning 88% of peers have a higher current ratio. No trend data is available: the year-over-year change is **N/A**, the quarter-over-quarter change is **N/A**, and the last eight quarters show only the single reported value of **0.66x**. Without a trend, the level alone points to elevated liquidity risk, as the company may struggle to cover near-term debts if cash flows weaken. This metric contradicts a bullish view but does not alone justify a negative rating, since a low current ratio can be common in energy producers with strong cash flows. Therefore, the **NEUTRAL** overall verdict is supported: the ratio highlights a risk factor that is offset by other strengths not captured here.

Frequently Asked Questions

What does the Current Ratio tell investors about EQT?

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 EQT's closest peers by Current Ratio?

The closest peers by Current Ratio include: KEY (0.42x), GEN (0.40x), CHTR (0.40x), USB (0.40x), DRI (0.39x).

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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EQT

0.66x

Sector Median

1.20x

Sector Avg

2.57x

How EQT's Current Ratio compares to sector peers.

Not financial advice. Research tool only. Data may be delayed.