Cartesian Growth Corporat...

11.69
0.00 (0.00%)
At close: Feb 19, 2025, 2:29 PM

Cartesian Growth II Statistics

Share Statistics

Cartesian Growth II has 13.26M shares outstanding. The number of shares has increased by -39.21% in one year.

Shares Outstanding 13.26M
Shares Change (YoY) -39.21%
Shares Change (QoQ) 0.98%
Owned by Institutions (%) 0.01%
Shares Floating 13.26M
Failed to Deliver (FTD) Shares 129
FTD / Avg. Volume 172%

Short Selling Information

Short Interest n/a
Short % of Shares Out n/a
Short % of Float n/a
Short Ratio (days to cover) n/a

Valuation Ratios

The PE ratio is 20.71 and the forward PE ratio is null. Cartesian Growth II's PEG ratio is 0.57.

PE Ratio 20.71
Forward PE n/a
PS Ratio 0
Forward PS null
PB Ratio -8.39
P/FCF Ratio -208.67
PEG Ratio 0.57
Financial Ratio History

Enterprise Valuation

Currently the Enterprise Value (EV) is not available for Cartesian Growth II.

EV / Sales n/a
EV / EBITDA n/a
EV / EBIT n/a
EV / FCF n/a

Financial Position

The company has a current ratio of 0.13, with a Debt / Equity ratio of -0.32.

Current Ratio 0.13
Quick Ratio 0.13
Debt / Equity -0.32
Debt / EBITDA -6.35
Debt / FCF -8.08
Interest Coverage 0

Financial Efficiency

Return on Equity is n/a and Return on Invested Capital is n/a.

Return on Equity n/a
Return on Assets n/a
Return on Invested Capital n/a
Revenue Per Employee $0
Profits Per Employee $4.1M
Employee Count 2
Asset Turnover 0
Inventory Turnover n/a

Taxes

Income Tax 0
Effective Tax Rate 0%

Stock Price Statistics

The stock price has increased by 5.98% in the last 52 weeks. The beta is -0.01, so Cartesian Growth II's price volatility has been lower than the market average.

Beta -0.01
52-Week Price Change 5.98%
50-Day Moving Average 11.68
200-Day Moving Average 11.4
Relative Strength Index (RSI) 53.47
Average Volume (20 Days) 75

Income Statement

Revenue n/a
Gross Profit 0
Operating Income -1.04M
Net Income 8.21M
EBITDA -1.04M
EBIT n/a
Earnings Per Share (EPS) 0.56
Full Income Statement

Balance Sheet

The company has 236.7K in cash and 6.58M in debt, giving a net cash position of -6.34M.

Cash & Cash Equivalents 236.7K
Total Debt 6.58M
Net Cash -6.34M
Retained Earnings -20.26M
Total Assets 85M
Working Capital -3.04M
Full Balance Sheet

Cash Flow

In the last 12 months, operating cash flow was -814.23K and capital expenditures 0, giving a free cash flow of -814.23K.

Operating Cash Flow -814.23K
Capital Expenditures 0
Free Cash Flow -814.23K
FCF Per Share -0.06
Full Cash Flow Statement

Margins

Gross Margin n/a
Operating Margin n/a
Pretax Margin n/a
Profit Margin n/a
EBITDA Margin n/a
EBIT Margin n/a
FCF Margin n/a

Dividends & Yields

RENEU does not appear to pay any dividends at this time.

Dividend Per Share n/a
Dividend Yield n/a
Dividend Growth (YoY) n/a
Payout Ratio n/a
Earnings Yield n/a
FCF Yield n/a
Dividend Details

Analyst Forecast

Currently there are no analyst rating for RENEU.

Price Target n/a
Price Target Difference n/a
Analyst Consensus n/a
Analyst Count n/a
Stock Forecasts

Scores

Altman Z-Score 4.08
Piotroski F-Score 4