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πŸ“‰ The Great Reset πŸ“ˆ

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Borgosesia


Can this company survive a downturn?

How efficiently does it turn assets into profit?

Is the business becoming more valuable over time?

1.1. Financial Health of Borgosesia (5 min.)




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Key Takeaways

What matters most right now.

βž– Financial resilience

The company has a current ratio of 25.8, compared to a 5-year average of 19.6. This shows how well it can cover short-term obligations if conditions worsen.

⚠️ Debt levels

Debt relative to equity is 0.04, compared to a 5-year average of 0.02. This shows whether leverage is increasing or staying disciplined.

βž– Capital efficiency

Return on equity is 7.4%, compared to a 5-year average of 6.8%. This shows how effectively management turns shareholder capital into profit.

Why this matters

The facts behind the takeaways.

βž– Ability to pay short-term bills

The company’s short-term financial buffer is 25.8, compared to 19.6 historically.

⚠️ Debt pressure

Debt levels are 0.04 today, compared to 0.02 over the last 5 years.

What to watch next

Focus points for the next quarters.

βž– Next earnings

Watch whether revenue growth translates into sustained margin improvement next quarter.

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Balance Sheet

Showing financial position from 2022-01-01 to 2025-01-01.

 2025-01-012024-01-012023-01-012022-01-01
Assets
   TotalπŸ”’ Member15,59717,1650
   Current
      TotalπŸ”’ Member24,9747,66612,234
      CashπŸ”’ Member6,7987,66612,234
      Cash EquivalentsπŸ”’ Member000
      Short Term InvestmentsπŸ”’ Member000
      Accounts ReceivableπŸ”’ Member3041,5400
      Inventory
         TotalπŸ”’ Member17,87221,8400
         Inventory Finished GoodsπŸ”’ Member000
         Inventory Raw MaterialsπŸ”’ Member000
         Inventory PartsπŸ”’ Member000
         Inventory WIPπŸ”’ Member000
      Prepaid ExpensesπŸ”’ Member000
   Noncurrent
      Property Plant And EquipmentπŸ”’ Member000
      Intangible AssetsπŸ”’ Member000
      GoodwillπŸ”’ Member000
      Right Of Use AssetsπŸ”’ Member000
      Long Term InvestmentsπŸ”’ Member000
      Deferred Tax AssetsπŸ”’ Member3,2833,7340
      Other AssetsπŸ”’ Member000
      TotalπŸ”’ Member3,2833,7340
Liabilities
   TotalπŸ”’ Member9751,0370
   Current
      TotalπŸ”’ Member9751,0370
      Accounts PayableπŸ”’ Member9751,0370
      Accrued LiabilitiesπŸ”’ Member000
      Short Term DebtπŸ”’ Member000
      Deferred RevenueπŸ”’ Member000
      Lease LiabilitiesπŸ”’ Member000
      Other Current LiabilitiesπŸ”’ Member000
   Noncurrent
      Long Term DebtπŸ”’ Member000
      Lease LiabilitiesπŸ”’ Member000
      Operating Lease LiabilitiesπŸ”’ Member000
      Deferred RevenueπŸ”’ Member000
      Deferred Tax LiabilitiesπŸ”’ Member000
      TotalπŸ”’ Member000
Equity
   TotalπŸ”’ Member062,98253,202
   Common StockπŸ”’ Member9,8969,8960
   Preferred StockπŸ”’ Member000
   Additional Paid In CapitalπŸ”’ Member000
   Retained EarningsπŸ”’ Member000
   Accumulated Other Comprehensive IncomeπŸ”’ Member24,48125,8020
   Treasury StockπŸ”’ Member000
   Minority InterestπŸ”’ Member10,70312,9300
   Temporary EquityπŸ”’ Member000

Income Statement

Performance overview from 2022-01-01 to 2025-01-01.

 2025-01-012024-01-012023-01-012022-01-01
Revenue
   TotalπŸ”’ Member000
   Segments
      Segment1πŸ”’ Member000
      Segment2πŸ”’ Member000
      Segment3πŸ”’ Member000
Cost Of Revenue
   TotalπŸ”’ Member6,41611,0420
Gross ProfitπŸ”’ Member14,65715,7760
Operating Expenses
   TotalπŸ”’ Member000
   Research And DevelopmentπŸ”’ Member000
   Selling General And AdministrativeπŸ”’ Member000
   Stock Based CompensationπŸ”’ Member000
   Allocated Stock Based CompensationπŸ”’ Member000
   Impairment ChargesπŸ”’ Member000
   Restructuring ChargesπŸ”’ Member000
   Other Operating ExpensesπŸ”’ Member000
Operating IncomeπŸ”’ Member9,52711,5620
Non Operating
   Interest IncomeπŸ”’ Member132410
   Interest ExpenseπŸ”’ Member5,5564,6150
   Gain On Asset SalesπŸ”’ Member000
   Other Non Operating IncomeπŸ”’ Member000
Income Before TaxπŸ”’ Member6,0707,2680
Income TaxπŸ”’ Member432-8890
Net IncomeπŸ”’ Member5,6388,1570

Cash Flow Statement

Operational cash dynamics from 2022-01-01 to 2025-01-01.

 2025-01-012024-01-012023-01-012022-01-01
Operating Activities
   Net IncomeπŸ”’ Member5,6388,1570
   Adjustments
      Depreciation And AmortizationπŸ”’ Member000
      Stock Based CompensationπŸ”’ Member000
      ImpairmentsπŸ”’ Member000
      Deferred TaxesπŸ”’ Member000
      Gain On Asset SalesπŸ”’ Member000
      Change In Working CapitalπŸ”’ Member000
   Cash From OperationsπŸ”’ Member-12,67916,4780
Investing Activities
   Cash From InvestingπŸ”’ Member-11,916-28,0810
   Capital ExpendituresπŸ”’ Member9352400
   AcquisitionsπŸ”’ Member000
   Purchase Of InvestmentsπŸ”’ Member000
   Sale Of InvestmentsπŸ”’ Member000
Financing Activities
   Cash From FinancingπŸ”’ Member23,7277,0350
   Debt IssuedπŸ”’ Member000
   Debt RepaidπŸ”’ Member000
   Convertible Debt RepaidπŸ”’ Member000
   Debt Issuance CostsπŸ”’ Member000
   Dividends PaidπŸ”’ Member1,1381,0430
   Share RepurchasesπŸ”’ Member000
   Share IssuanceπŸ”’ Member000
   Lease Principal PaymentsπŸ”’ Member000
   Minority Interest DistributionsπŸ”’ Member000
Other
   Taxes PaidπŸ”’ Member000
   Interest PaidπŸ”’ Member000
   Effect Of Exchange Rate On CashπŸ”’ Member000
Summary
   Net Change In CashπŸ”’ Member-6,798-7,666-12,234
   Beginning CashπŸ”’ Member6,7987,66612,234
   Ending Cash-00-
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