Top Statistics
|
Market Cap |
150 M |
Forward PE |
9.17 |
Revenue Growth |
37.60 % |
Current Ratio |
0.82 |
Trailing PE |
8.98 |
Earnings Growth |
-8.20 % |
Profit Margins |
26.70 % |
Peg Ratio |
|
Dividend Yield |
0.00 % |
Enterprice / EBITA |
4.21 |
Enterprise / Revenue |
2.89 |
Price To Sales Trailing12 Months |
2.76 |
Profitability
|
Profit Margins |
26.70 % |
Operating Margins |
45.47 % |
|
Balance Sheet
|
Total Cash |
1 M |
Total Cash Per Share |
0.0320 |
Total Debt |
34 M |
Total Debt To Equity |
19.48 |
Current Ratio |
0.82 |
Book Value Per Share |
4.78 |
All Measures
|
Short Ratio |
249.00 % |
Message Board Id |
finmb_25116010 |
Shares Short Prior Month |
13966 |
Return On Equity |
0.0851 |
City |
Thousand Oaks |
Uuid |
ab991b6b-8d5f-3c26-9e2c-2c63ced22b05 |
Previous Close |
4.25 |
First Trade Date Epoch Utc |
1 B |
Book Value |
4.78 |
Beta |
2.28 |
Total Debt |
34 M |
Volume |
9524 |
Price To Book |
0.8823 |
Last Split Date |
1 B |
Fifty Two Week Low |
2.84 |
Total Cash Per Share |
0.0320 |
Total Revenue |
54 M |
Shares Short Previous Month Date |
1 B |
Target Median Price |
6.38 |
Audit Risk |
10 |
Max Age |
86400 |
Recommendation Mean |
2.00 |
Sand P52 Week Change |
0.3133 |
Operating Margins |
45.47 % |
Target Mean Price |
6.38 |
Net Income To Common |
14 M |
Implied Shares Outstanding |
35 M |
Trailing Peg Ratio |
None |
Last Fiscal Year End |
1 B |
Average Daily Volume10 Day |
26690 |
Average Volume10days |
26690 |
Total Cash |
1 M |
Next Fiscal Year End |
1 B |
Revenue Per Share |
1.53 |
Held Percent Insiders |
0.0138 |
Ebitda Margins |
68.65 % |
Trailing PE |
8.98 |
Date Short Interest |
1 B |
Most Recent Quarter |
1 B |
Share Holder Rights Risk |
1 |
Regular Market Previous Close |
4.25 |
Target Low Price |
6.00 |
Gmt Off Set Milliseconds |
-18000000 |
Fifty Day Average |
3.44 |
Open |
4.08 |
Free Cashflow |
-22613250 |
State |
CA |
Dividend Yield |
0.00 % |
Return On Assets |
0.0694 |
Time Zone Short Name |
EST |
Board Risk |
9 |
Trailing Eps |
0.4700 |
Day Low |
4.08 |
Address1 |
925 Broadbeck Drive |
Shares Outstanding |
35 M |
Compensation Risk |
7 |
Price Hint |
4 |
Target High Price |
6.75 |
Website |
https://www.kolibrienergy.com |
52 Week Change |
-0.0186 |
Average Volume |
10414 |
Earnings Quarterly Growth |
-4.80 % |
Recommendation Key |
buy |
Forward Eps |
0.0000 |
Compensation As Of Epoch Date |
1 B |
Quick Ratio |
82.50 % |
Last Split Factor |
1:10 |
Regular Market Day High |
4.25 |
Is_sp_500 |
False |
Profit Margins |
26.70 % |
Debt To Equity |
19.48 |
Fifty Two Week High |
4.60 |
Day High |
4.25 |
Shares Short |
17973 |
Regular Market Open |
4.08 |
Industry Key |
oil-gas-e-p |
Earnings Growth |
-8.20 % |
Enterprise To Revenue |
2.89 |
Revenue Growth |
37.60 % |
Shares Percent Shares Out |
0.0005 |
Operating Cashflow |
36 M |
Currency |
USD |
Time Zone Full Name |
America/New_York |
Market Cap |
150 M |
Is_nasdaq_100 |
False |
Zip |
91320 |
Quote Type |
EQUITY |
Industry |
Oil & Gas E&P |
Long Name |
Kolibri Global Energy Inc. |
Overall Risk |
10 |
Regular Market Day Low |
4.08 |
Held Percent Institutions |
0.5427 |
Current Price |
4.22 |
Address2 |
Suite 220 |
Enterprise To Ebitda |
4.21 |
Financial Currency |
USD |
Current Ratio |
0.82 |
Gross Margins |
86.12 % |
Industry Disp |
Oil & Gas E&P |
Number Of Analyst Opinions |
2 |
Country |
United States |
Float Shares |
18 M |
Two Hundred Day Average |
3.33 |
Governance Epoch Date |
1 B |
Enterprise Value |
157 M |
Price To Sales Trailing12 Months |
2.76 |
Forward PE |
9.17 |
Regular Market Volume |
9524 |
Ebitda |
37 M |
Exchange |
NCM |
|