ENOVIS CORPORATION Key Metrics

2 years of history · ending 2025-12-31 · SEC EDGAR

Forensics

Three classic accounting-quality scores. F-Score (0-9, higher = better fundamentals); M-Score (>-1.78 flags possible manipulation); Z-Score (>2.99 = safe, <1.81 = distressed). Use together — single-score readings are noisy.

F-Score (Piotroski 0-9)

M-Score (Beneish; >-1.78 flags risk)

Z-Score (Altman; <1.81 = distress)

Per Share Metrics

Turnover & Efficiency Analysis (days)

Expense Ratios

Working Capital Analysis

Valuation Multiples

Cash-Flow Multiples

Enterprise Value Multiples

52-Week Range

Trailing Returns

ROIC vs WACC

Yields

Capital Deployment Yields

EPS (Diluted)
$-21
Book Value Per Share
$26
Free Cash Flow Per Share
$0
Cash Per Share
$1
Revenue Per Share
$39
OCF Per Share
$4
Return on Equity
-58.5%
Return on Assets
-27.7%
Return on Invested Capital
-26.6%
Debt to Equity
0.87
Current Ratio
2.02
Quick Ratio
1.04
Asset Turnover
0.53
Days Sales Outstanding
71.89
Days Payables Outstanding
75.82
Days Inventory On Hand
236.27
Cash Conversion Cycle
232.34
R&D / Revenue
5.4%
SBC / Revenue
1.5%
Capex / Revenue
8.8%
Working Capital
$609M
Net Current Asset Value
$-1.14B
Invested Capital
$2.79B
OCF / Net Income
-0.18
FCF / Net Income
-0.02
Accruals Ratio (Sloan)
-36.6%
Net Debt
$1.26B
Net Debt / EBITDA
5.73
Interest Coverage
-32.28
Cash Coverage
6.24
Dividend Coverage
Capex Coverage
1.10
Tangible Common Equity
$-465M
TCE / Total Assets
-12.1%
Goodwill / Total Assets
18.7%
NOPAT
$-888M
Cash ROIC
0.6%
WC / Revenue
27.1%
Capex / D&A
0.15
Reinvestment Rate
99.6%
Total Payout Ratio
-0.3%
Asset Growth vs Revenue Growth
-25.4%
Revenue 5Y CAGR
14.9%
EPS 5Y CAGR
FCF 5Y CAGR
-36.1%
EBITDA 5Y CAGR
16.7%
Book Value 5Y CAGR
-16.1%
Stock Price (FY-end)
$27
Market Cap
$1.52B
P/E Ratio
P/S Ratio
0.68
P/B Ratio
1.02
P/TB Ratio
P/OCF Ratio
7.00
P/FCF Ratio
76.33
Enterprise Value
$2.78B
EV / EBITDA
12.65
EV / Sales
1.24
EV / FCF
139.62
FCF Yield
1.3%
Shareholder Yield
-1.9%
Buyback Yield
0.2%
R&D Yield
7.9%
Capex Yield
13.0%
Dividend Per Share
Operating Leverage
Graham Number
Shares Variation (YoY)
3.2%
Beta (5Y)
1.19
Cost of Equity
10.5%
Cost of Debt (after tax)
2.1%
WACC
6.6%
ROIC - WACC Spread
-33.2%
52W High
$48
52W Low
$26
Trailing Return 1Y
-39.9%
Trailing Return 5Y
-57.8%
F-Score (Piotroski)
4.00
M-Score (Beneish)
-4.29
Z-Score (Altman)
-0.34

Earnings Forecasts

Per-quarter consensus estimates + actuals + beat/miss surprise. Sourced from Finnhub (Wall Street consensus aggregation).

Source caveat: Finnhub free tier returns the consensus mean only — analyst high / low / dispersion + analyst counts require a paid plan. A "$5.00 consensus" line above could mean "20 analysts at exactly $5" (high conviction) or "10 at $5.50, 10 at $4.50" (split). Treat single-line consensus accordingly.

EPS — Consensus vs Actual

Revenue — Consensus vs Actual

Stock Price on Earnings Dates