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VAR.AX Probability of Bankruptcy

The Probability of Bankruptcy of (VAR.AX) is 0% . This number represents the probability that VAR.AX will face financial distress in the next 24 months given its current fundamentals and market conditions.

Multiple factors are taken into account when calculating VAR.AX's probability of bankruptcy : Altman Z-score, Beneish M-score, financial position, macro environments, academic research about distress risk and more.

VAR.AX - Historical Solvency Measures

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VAR.AX - ESG ratings

ESG ratings are directly linked to the cost of capital and VAR.AX's ability to raise funding, both of which can significantly affect the probability of going bankrupt.

ESG Score

0

Environment Score

0

Social Score

0

Governance Score

0
Returns
Historical Returns (5 day)-
Historical Returns (MTD)40%
Historical Returns (YTD)-
Historical Returns (13 week)-
Historical Returns (26 week)-
Historical Returns (52 week)-28.57%
Efficiency
Asset Turnover0
Receiveable Turnover0.04
Gross Margin99.9%
Operating Margin-
Pretax Margin-
Net Margin-
Return on Asset (ROA)-8.08
Return on Equity (ROE)-8.35
Return on Investments (ROI)-8.35
Price Metrics
Market Cap (M)-
Enterprise Value (M)-
52 Week High0.02
52 Week Low0.01
Beta2.2
Average Volume (10 day)0.93
Average Volume (3 month)2.04
Price / Earnings (P/E)-
Price / Sales (P/S)718.2
Earnings
EPS-0
Revenue CAGR (5 year)-39.24%
Risk
Current Ratio7.75
Quick Ratio7.75

VAR.AX - Peer Comparisons

TickerCompany NameBeta Probability of Bankruptcy
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