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Avalon Telematics Ltd
No ratingIndicators computed
14 of 18
FY2026 · coverage 35%
Elevated
6
in 3 categories
Watch
2
Not computed
4
2 the metrics it needs were not found · 1 no value could be computed from the documents · 1 too few years of history
| Indicator | Category | Value | Peer position | Risk level | Status |
|---|---|---|---|---|---|
| Intangible Assets | Asset Quality | 0.43 | higher than 100% of the peer group | elevated | computed |
| Retained Earnings | Credit | −0.66 | higher than 2% of the peer group | elevated | computed |
| Composite Bankruptcy Score | Credit | −1.42 | higher than 96% of the peer group | elevated | computed |
| Provision for Bad Debt Relative to Trade Receivables | Working Capital Signals | 6.40 | higher than 94% of the peer group | elevated | computed |
| Change in Goodwill | Asset Quality | −0.33 | higher than 8% of the peer group | elevated | computed |
| Working Capital | Working Capital Signals | −0.08 | higher than 11% of the peer group | elevated | computed |
| Options Issuance | Corporate Governance | 0.07 | higher than 74% of the peer group | watch | computed |
| Interest Payments | Cash Quality | 0.61 | higher than 32% of the peer group | watch | computed |
| Cash Conversion | Cash Quality | 1.21 | higher than 68% of the peer group | normal | computed |
| EBIT Margin | Margin Signals | −0.88 | higher than 51% of the peer group | normal | computed |
| Days Sales Outstanding | Working Capital Signals | 77 | higher than 0% of the peer group | normal | computed |
| Accounting Standard | Corporate Governance | yes | not computed | normal | computed |
| Sales Growth | Growth Signals | 0.01 | higher than 44% of the peer group | normal | computed |
| Total Debt to Earnings | Gearing | 4.90 | not computed | normal | computed |
| Manipulation Detection Score | not computed | not computed | not computed | not computed | the metrics it needs were not found |
| Cost of Goods Sold | not computed | not computed | not computed | not computed | the metrics it needs were not found |
| Gross Profit Margin | not computed | not computed | not computed | not computed | no value could be computed from the documents |
| Deviation Between Interim and Annual Gross Profit Margin | not computed | not computed | not computed | not computed | too few years of history |
Peer position: where the reading sits among Software & IT Services companies in FY2026. Direction: a higher reading raises or lowers risk per indicator.
Context applied to this study
Declared context changes how a reading is read, never the reading itself. Context acts on the risk-raising side only.
- Lifecycle
- Mature
- Business
- Asset heavy
- Standard
- IFRS
- Events
- Merger or acquisition · Debt refinancing
- Effect on FY2026
- risk index 0.85 with context, 0.84 without
Retained Earnings
selected indicatorClose
Value FY2026
−0.66
Peer position
2%
higher than 2% of the peer group
Risk level
elevated
a higher reading lowers risk
Read from FY2020 to FY2026: not computed · not computed · not computed · not computed · not computed · not computed · −0.66
Feeds the findings Fiscal 2026 write-down empties equity and multiplies the accumulated deficit