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ASAN

Neutral signal

Factor checklist — research, not advice

A check leans with a bullish reading. A cross leans against it. A dash is unavailable or mixed.

VENTE TOTALE: 452 767 titres (~4 254 028,21 $ US)

Insiders
Rogers Daniel Mark
Total bought
—

Avg buy (VWAP, 90d window) —

Total sold
$4,254,028

Avg sell (VWAP, 90d window) $9.32 vs last close $9.02 (-3.2%)

Last activity
2026-09-22
Liquidity
Liquid $79,493,805/day · 20d vol
Last synced
2026-09-25 21:10:08 Synced via automated research pipeline

Sign in to request a sync of this company's price history and timing levels.

Insider holdings as a share of total assets aren't available for this company.

Avg buy and avg sell are volume-weighted prices (sum of shares × price, divided by shares) for Form 4 rows in this 90-day window that report both figures. A comparison with last close is market context for that average, not advice.

Recent Form 4

Filings in the 90-day window for this company. Value is shares × price from the filing. Research, not advice.

Date Person Side Shares Price Value Form 4
2026-09-23 Megji Aziz Sell 3,224 $9.26 $29,866 Form 4
2026-09-22 Colendich Katie Marie Sell 8,474 $9.77 $82,791 Form 4
2026-09-22 Rogers Daniel Mark Sell 150,175 $9.13 $1,370,752 Form 4
2026-09-21 Colendich Katie Marie Sell 7,436 $9.53 $70,835 Form 4
2026-09-21 Megji Aziz Sell 35,444 $9.53 $337,640 Form 4
2026-09-21 Rogers Daniel Mark Sell 300,937 $9.53 $2,866,726 Form 4
2026-08-27 Rogers Daniel Mark Sell 1,655 $10.00 $16,550 Form 4
2026-06-30 Rogers Daniel Mark Sell 13,790 $6.89 $95,082 Form 4
2026-06-26 Colendich Katie Marie Sell 5,242 $6.68 $35,043 Form 4

Price (1 year)

Live chart from TradingView — independent market data, as price context around the filings, not the Quorum score. EMA 50/200 and Bollinger load by default. When the exchange is known it is sent as EXCHANGE:SYMBOL; otherwise TradingView resolves the ticker best-effort.

Market snapshot

Signal

Neutral signalScored 2026-09-25

ASAN shows a genuine fundamental improvement trajectory with narrowing losses and better cash flow dynamics, but the financial health score of 55 reflects persistent unprofitability, high leverage, and dilution risk…

The first sentence of the analysis written for ASAN on 2026-09-25 - a real excerpt, not a sample. The rest of it, the 0-100 score and the rating it produced are part of Plus. See plans.

Financial ratios

MetricTrend2026-01-312025-01-312024-01-312023-01-312022-01-31
Gross Profit Margin89.0%89.3%90.1%89.7%89.7%
Ebit Margin-21.2%-34.1%-38.2%-73.3%-70.5%
Ebitda Margin-18.4%-31.7%-36.0%-70.9%-68.2%
Operating Profit Margin-25.0%-36.8%-41.4%-74.5%-70.1%
Pretax Profit Margin-23.3%-34.6%-38.8%-73.6%-75.3%
Continuous Operations Profit Margin-23.9%-35.3%-39.4%-74.5%-76.2%
Net Profit Margin-23.9%-35.3%-39.4%-74.5%-76.2%
Bottom Line Profit Margin-23.9%-35.3%-39.4%-74.5%-76.2%
Current Ratio1.1841.4451.7971.9871.612
Quick Ratio1.1841.4451.7971.9871.612
Solvency Ratio-0.242-0.358-0.382-0.660-0.556
Cash Ratio0.3990.4440.6441.5850.942
Price To Earnings Ratio-12.812-19.225-14.889-7.598-32.196
Price To Earnings Growth Ratio0.4593.7490.349-0.302-1.318
Forward Price To Earnings Growth Ratio0.4593.7490.349-0.302-1.318
Price To Earnings Diluted Ratio-12.812-19.225-14.889-7.598-32.196
Price To Earnings Diluted Growth Ratio0.4593.7490.349-0.302-1.318
Price To Book Ratio15.75121.52311.7638.69545.416
Price To Sales Ratio3.0706.7655.8845.66624.463
Price To Free Cash Flow Ratio28.040523.400-123.487-18.542-73.180
Price To Operating Cash Flow Ratio26.864328.103-214.125-19.371-110.491
Debt To Assets Ratio0.2950.3010.2890.2840.362
Debt To Equity Ratio1.6181.1800.8510.7621.254
Debt To Capital Ratio0.6180.5410.4600.4320.556
Long Term Debt To Capital Ratio0.0000.1470.1180.1160.145
Financial Leverage Ratio5.4773.9182.9472.6783.469
Working Capital Turnover Ratio5.7053.0322.1032.2601.726
Operating Cash Flow Ratio0.1800.036-0.049-0.482-0.328
Operating Cash Flow Sales Ratio0.1140.021-0.027-0.292-0.221
Free Cash Flow Operating Cash Flow Ratio0.9580.6271.7341.0451.510
Debt Service Coverage Ratio-3.427-26.087-60.408-196.549-14.223
Interest Coverage Ratio-62.685-72.423-68.319-203.913-14.424
Short Term Operating Cash Flow Coverage Ratio2.2132.8170.0000.0000.000
Operating Cash Flow Coverage Ratio0.3620.056-0.065-0.589-0.328
Capital Expenditure Coverage Ratio23.8292.680-1.362-22.364-1.961
Dividend Paid And Capex Coverage Ratio23.8292.680-1.362-22.364-1.961
Dividend Payout Ratio0.0000.0000.0000.0000.000
Enterprise Value Multiple-16.987-21.698-16.512-7.330-35.905

Sparkline shows each ratio oldest → newest (left → right).

How the latest year compares

For each ratio: its most recent value, the change versus one year earlier, and versus its 5-year average. ▲ higher ▼ lower

MetricCurrentvs 1Y agovs 5Y avg
Gross Profit Margin 89.0% ▼-0.3% ▼-0.5%
Ebit Margin -21.2% ▲12.9% ▲26.2%
Ebitda Margin -18.4% ▲13.3% ▲26.6%
Operating Profit Margin -24.9% ▲11.9% ▲24.6%
Pretax Profit Margin -23.3% ▲11.3% ▲25.9%
Continuous Operations Profit Margin -23.9% ▲11.4% ▲26.0%
Net Profit Margin -23.9% ▲11.4% ▲26.0%
Bottom Line Profit Margin -23.9% ▲11.4% ▲26.0%
Current Ratio 1.184 ▼-0.260 ▼-0.421
Quick Ratio 1.184 ▼-0.260 ▼-0.421
Solvency Ratio -0.242 ▲0.117 ▲0.198
Cash Ratio 0.399 ▼-0.045 ▼-0.404
Price To Earnings Ratio -12.812 ▲6.413 ▲4.532
Price To Earnings Growth Ratio 0.459 ▼-3.290 ▼-0.129
Forward Price To Earnings Growth Ratio 0.459 ▼-3.290 ▼-0.129
Price To Earnings Diluted Ratio -12.812 ▲6.413 ▲4.532
Price To Earnings Diluted Growth Ratio 0.459 ▼-3.290 ▼-0.129
Price To Book Ratio 15.751 ▼-5.772 ▼-4.879
Price To Sales Ratio 3.070 ▼-3.695 ▼-6.100
Price To Free Cash Flow Ratio 28.041 ▼-495.360 ▼-39.206
Price To Operating Cash Flow Ratio 26.864 ▼-301.239 ▲24.668
Debt To Assets Ratio 0.295 ▼-0.006 ▼-0.011
Debt To Equity Ratio 1.618 ▲0.439 ▲0.485
Debt To Capital Ratio 0.618 ▲0.077 ▲0.097
Long Term Debt To Capital Ratio 0.000 ▼-0.147 ▼-0.105
Financial Leverage Ratio 5.477 ▲1.559 ▲1.779
Working Capital Turnover Ratio 5.705 ▲2.672 ▲2.739
Operating Cash Flow Ratio 0.180 ▲0.144 ▲0.309
Operating Cash Flow Sales Ratio 0.114 ▲0.094 ▲0.196
Free Cash Flow Operating Cash Flow Ratio 0.958 ▲0.331 ▼-0.217
Debt Service Coverage Ratio -3.427 ▲22.660 ▲56.712
Interest Coverage Ratio -62.685 ▲9.739 ▲21.668
Short Term Operating Cash Flow Coverage Ratio 2.213 ▼-0.603 ▲1.208
Operating Cash Flow Coverage Ratio 0.362 ▲0.307 ▲0.475
Capital Expenditure Coverage Ratio 23.829 ▲21.149 ▲23.665
Dividend Paid And Capex Coverage Ratio 23.829 ▲21.149 ▲23.665
Dividend Payout Ratio 0.000 0.000 0.000
Enterprise Value Multiple -16.987 ▲4.711 ▲2.699

Key metrics

MetricTrend20262025202420232022
Market cap$2.43B$4.90B$3.84B$3.10B$9.26B
Enterprise value$2.48B$4.98B$3.88B$2.85B$9.27B
EV / Sales3.13x6.88x5.95x5.20x24.50x
EV / Op. cash flow27.41x333.71x-216.42x-17.78x-110.67x
EV / Free cash flow28.61x532.34x-124.81x-17.02x-73.30x
EV / EBITDA-16.99x-21.70x-16.51x-7.33x-35.91x
Net debt / EBITDA-0.34x-0.36x-0.17x0.66x-0.06x
Current ratio1.18x1.45x1.80x1.99x1.61x
Income quality-0.48x-0.06x0.07x0.39x0.29x
Graham net-net-$1-$1-$0-$0-$1
Tax burden102.6%101.9%101.5%101.2%101.1%
Interest burden109.7%101.5%101.6%100.5%106.9%
Working capital$92.3M$184.9M$292.5M$328.1M$156.2M
Invested capital$314.1M$447.3M$570.8M$599.2M$429.9M
Return on assets-22.4%-28.7%-26.7%-42.7%-40.8%
Operating ROA-22.7%-28.8%-28.2%-49.1%-36.9%
Return on tangible assets-22.4%-28.7%-26.7%-42.7%-40.8%
Return on equity-122.6%-112.3%-78.7%-114.4%-141.5%
Return on invested capital-48.3%-53.0%-44.0%-64.0%-57.1%
Return on capital employed-57.5%-56.1%-45.4%-65.5%-58.7%
Earnings yield-7.8%-5.2%-6.7%-13.2%-3.1%
Free cash flow yield3.6%0.2%-0.8%-5.4%-1.4%
Capex / Op. cash flow4.2%37.3%-73.4%-4.5%-51.0%
Capex / Depreciation17.2%31.7%91.8%56.5%504.7%
Capex / Sales0.5%0.8%2.0%1.3%11.3%
SG&A / Sales75.9%79.0%81.7%109.9%106.1%
R&D / Sales38.1%47.2%49.8%54.3%53.7%
Stock comp / Sales27.2%29.2%31.0%34.5%27.6%
Intangibles / Total assets0.0%0.0%0.0%0.0%0.0%
Days sales outstanding51d44d49d55d57d
Days payables outstanding79d47d39d49d108d
Operating cycle51d44d49d55d57d
Cash conversion cycle-28d-3d10d6d-51d

Change by theme

Grouped by what each metric measures. Each figure is the change over the period shown — ▲ up ▼ down versus then.

Change over 1 year

Valuation
Market cap ▼-50.4%EV / Sales ▼-54.5%EV / EBITDA ▲+21.7%EV / Op. cash flow ▼-306.296Earnings yield ▼-0.026
Profitability
Return on equity ▼-0.103Return on assets ▲+0.063Return on invested capital ▲+0.048Return on capital employed ▼-0.014Operating ROA ▲+0.060Income quality ▼-0.420Tax burden ▲+0.007
Efficiency
Days sales outstanding ▲+6.761Days payables outstanding ▲+32.270Operating cycle ▲+6.761Cash conversion cycle ▼-25.509Capex / Sales ▼-0.003R&D / Sales ▼-0.090
Balance-sheet strength
Current ratio ▼-0.260Net debt / EBITDA ▲+0.024Working capital ▼-92596000.000Invested capital ▼-133242000.000Intangibles / Total assets n/a

Change over 5 years

Valuation
Market cap ▼-73.8%EV / Sales ▼-87.2%EV / EBITDA ▲+52.7%EV / Op. cash flow ▲+138.085Earnings yield ▼-0.047
Profitability
Return on equity ▲+0.188Return on assets ▲+0.184Return on invested capital ▲+0.088Return on capital employed ▲+0.012Operating ROA ▲+0.141Income quality ▼-0.769Tax burden ▲+0.015
Efficiency
Days sales outstanding ▼-6.072Days payables outstanding ▼-29.263Operating cycle ▼-6.072Cash conversion cycle ▲+23.191Capex / Sales ▼-0.108R&D / Sales ▼-0.155
Balance-sheet strength
Current ratio ▼-0.428Net debt / EBITDA ▼-0.281Working capital ▼-63878000.000Invested capital ▼-115858000.000Intangibles / Total assets n/a

Employee count

Peer market caps

Congressional trades

STOCK Act disclosures (90-day window)

Amounts are STOCK Act brackets as disclosed. Quorum does not turn a bracket into an exact price or a midpoint.

No STOCK Act disclosures for this company in this window.

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