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Greenlane Holdings, Inc.

GNLNNASDAQ
$0.66
$-0.03(-4.75%)
U.S. Market opens in 2h 56m

Greenlane Holdings, Inc. Fundamental Analysis

Greenlane Holdings, Inc. (GNLN) shows weak financial fundamentals with a PE ratio of -0.00, profit margin of -5.33%, and ROE of -1.63%. The company generates $5.0B in annual revenue with weak year-over-year growth of -79.69%.

Key Strengths

Cash Position200910.22%
PEG Ratio-0.00
Current Ratio2.17

Areas of Concern

ROE-1.63%
Operating Margin-4.11%
We analyze GNLN's fundamental strength across five key dimensions.

The stock receives a Fundamental Health Score of -15185.7/100 based on profitability, valuation, growth, and balance sheet metrics. The F grade reflects weak fundamentals and significant financial concerns.

Fundamental Health Score

F
-15185.7/100

We analyze GNLN's fundamental strength across five key dimensions:

Efficiency Score

Weak

GNLN struggles to generate sufficient returns from assets.

ROA > 10%
-1.41%

Valuation Score

Excellent

GNLN trades at attractive valuation levels.

PE < 25
-0.00
PEG Ratio < 2
-0.00

Growth Score

Weak

GNLN faces weak or negative growth trends.

Revenue Growth > 5%
-79.69%
EPS Growth > 10%
-120.67%

Financial Health Score

Excellent

GNLN maintains a strong and stable balance sheet.

Debt/Equity < 1
0.03
Current Ratio > 1
2.17

Profitability Score

Weak

GNLN struggles to sustain strong margins.

ROE > 15%
-162.57%
Net Margin ≥ 15%
-5.33%
Positive Free Cash Flow
No

Key Financial Metrics

Is GNLN Expensive or Cheap?

P/E Ratio

GNLN trades at -0.00 times earnings. This suggests potential undervaluation.

-0.00

PEG Ratio

When adjusting for growth, GNLN's PEG of -0.00 indicates potential undervaluation.

-0.00

Price to Book

The market values Greenlane Holdings, Inc. at 0.00 times its book value. This may indicate undervaluation.

0.00

EV/EBITDA

Enterprise value stands at -0.11 times EBITDA. This is generally considered low.

-0.11

How Well Does GNLN Make Money?

Net Profit Margin

For every $100 in sales, Greenlane Holdings, Inc. keeps $-5.33 as profit after all expenses.

-5.33%

Operating Margin

Core operations generate -4.11 in profit for every $100 in revenue, before interest and taxes.

-4.11%

ROE

Management delivers $-1.63 in profit for every $100 of shareholder equity.

-1.63%

ROA

Greenlane Holdings, Inc. generates $-1.41 in profit for every $100 in assets, demonstrating efficient asset deployment.

-1.41%

Following the Money - Real Cash Generation

Operating Cash Flow

Greenlane Holdings, Inc. generates limited operating cash flow of $-14.44B, signaling weaker underlying cash strength.

$-14.44B

Free Cash Flow

Greenlane Holdings, Inc. generates weak or negative free cash flow of $-14.59B, restricting financial flexibility.

$-14.59B

FCF Per Share

Each share generates $-9715.73 in free cash annually.

$-9715.73

FCF Yield

GNLN converts -14.16% of its market value into free cash.

-14.16%

Financial Ratios Analysis

Valuation Ratios

P/E Ratio

Price to earnings ratio

-0.00

vs 25 benchmark

PEG Ratio

Price/earnings to growth ratio

-0.00

vs 25 benchmark

P/B Ratio

Price to book value ratio

0.00

vs 25 benchmark

P/S Ratio

Price to sales ratio

0.20

vs 25 benchmark

Financial Health

Debt/Equity

Total debt to shareholders' equity

0.03

vs 25 benchmark

Current Ratio

Current assets to current liabilities

2.17

vs 25 benchmark

Efficiency Ratios

ROE

Return on equity percentage

-1.63

vs 25 benchmark

ROA

Return on assets percentage

-1.41

vs 25 benchmark

ROCE

Return on capital employed

-1.74

vs 25 benchmark

How GNLN Stacks Against Its Sector Peers

MetricGNLN ValueSector AveragePerformance
P/E Ratio-0.0022.87 Better (Cheaper)
ROE-162.57%1267.00% Weak
Net Margin-532.77%-7600.00% (disorted) Weak
Debt/Equity0.030.82 Strong (Low Leverage)
Current Ratio2.172.41 Strong Liquidity
ROA-140.55%-203145.00% (disorted) Weak

GNLN outperforms its industry in 3 out of 6 key metrics, but lagging in ROE.

Historical Growth Performance

5-Year Growth Trajectory

This section reviews Greenlane Holdings, Inc.'s 5-year compound annual growth rate (CAGR) and compares its performance against the typical investment style of its industry.

Revenue CAGR

-99.97%

Industry Style: Defensive, Dividend, Low Volatility

Declining

EPS CAGR

99.77%

Industry Style: Defensive, Dividend, Low Volatility

High Growth

FCF CAGR

99.93%

Industry Style: Defensive, Dividend, Low Volatility

High Growth

Fundamental Analysis FAQ