TSN

NEUTRAL

$64.36

P/E

114.17

PEG

FCF Yield

Rev Growth YoY

+255.0% YoY

Gross Margin

572.0%

Health Score

5/10

D/E Ratio

0.49

Confidence

LOW


Business Snapshot

The ticker and exchange identifiers are absent from this payload, which limits full contextual framing. Based on the available financial profile — a Price/Sales ratio of 0.4x, a gross margin of 572%, and revenue growth of 255% year-over-year — this appears to be a financial services or asset-management-type entity where revenue recognition differs markedly from traditional product companies. The stock is priced at $64.36, though market capitalisation data is unavailable, preventing a definitive cap-tier classification.

Financial Health

**Score: 5/10** The balance sheet carries a manageable Debt/Equity ratio of 0.49x, suggesting conservative leverage, and a Current Ratio of 1.55x indicates the company can meet short-term obligations. Return on Equity is a striking 110%, pointing to highly efficient use of shareholder capital...

Risk Assessment

- **EARNINGS DETERIORATION:** Earnings growth of -8,097% year-over-year signals a catastrophic collapse in profitability relative to the prior period, regardless of the base-effect explanation. - **VALUATION STRETCH:** P/E of 114.17x is approximately 4.6x the sector average of 25x, leaving minimal margin of safety if growth disappoints. - **DATA OPACITY:** Free Cash Flow, TTM Revenue, TTM Net Income, and DCF fair value are all unavailable, making independent verification of financial health impossible. - **TECHNICAL DETERIORATION:** A confirmed death cross (50-day MA crossing below 200-day MA) combined with a bearish MACD signal indicates sustained negative price momentum. - **GROSS MARGIN ANOMALY:** A gross margin of 572% is arithmetically unusual for most business models and may reflect non-standard revenue recognition that warrants scrutiny before drawing conclusions about profitability quality. ---...

Last updated 51 hours ago · Data sourced from FMP & Finnhub · Not financial advice