PRHIZ NASDAQ
Presurance Holdings, Inc. 9.75% Senior Unsecured Notes due 2028
1W: +4.3%
1M: +13.7%
3M: +38.9%
YTD: +33.9%
$24.50
+1.96 (+8.70%)
Weekly Expected Move ±14.8%
$17
$21
$24
$28
$32
Overview
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Cash Flow
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📊 Key Metrics
TTM$23M
Revenue
+0.0% YoY
$-12M
Net Income
+0.0% YoY
$-45M
Free Cash Flow
+0.0% YoY
81.7%
Gross Margin
27.7%
Op. Margin
27.7%
Net Margin
💰 Income Flow
How revenue becomes profit💵 Cash Flow
⚠️ Cash Burn Where cash goes🏦 Balance Sheet
Assets = Liabilities + Equity📈 Financial Health
Profitability
ROE-42.8%
ROA-7.8%
ROIC20.7%
Valuation
P/E-0.7
P/B3.0
EV/EBITDA-17.7
Leverage
Debt/Equity0.73
Current Ratio0.00
Interest Cov.-2.3x
Quality Scores
Piotroski F1/9
Altman-I-0.18
Beneish M0.00