← Insiders

BLX

ACHAT TOTAL: 1850 titres (~98050 USD)

Insiders
Tizzoni Alejandro Horacio
Total bought
$98,050
Total sold
Last activity
2026-08-21
Last synced
2026-08-25 17:08:49 Synced via automated research pipeline

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

Price (1 year)

Live chart from TradingView - pulls its own market data, independent of this site's database. Symbol resolution is best-effort (defaults to NASDAQ) since we don't store the exchange prefix.

Market snapshot

Signal

Bullish signal Scored 2026-08-27

The 0-100 score behind this signal and the full written analysis are part of Plus. See plans.

Financial ratios

MetricTrend2025-12-312024-12-312023-12-312022-12-312021-12-31
Gross Profit Margin93.5%35.1%30.7%38.3%65.3%
Ebit Margin66.8%25.4%24.3%27.8%40.3%
Ebitda Margin66.8%25.8%24.8%28.6%42.5%
Operating Profit Margin66.8%25.4%24.3%27.8%40.3%
Pretax Profit Margin66.8%25.4%24.3%27.8%40.3%
Continuous Operations Profit Margin66.8%25.4%24.3%27.8%40.3%
Net Profit Margin66.8%25.4%24.3%27.8%40.3%
Bottom Line Profit Margin66.8%25.4%24.3%27.8%40.3%
Current Ratio14.7520.2960.3310.2280.253
Quick Ratio14.7520.2960.3310.2280.253
Solvency Ratio0.0200.0200.0180.0120.009
Cash Ratio14.7400.2650.3110.2150.247
Price To Earnings Ratio7.3006.3525.4376.37810.247
Price To Earnings Growth Ratio0.8020.2750.0690.1128.198
Forward Price To Earnings Growth Ratio0.8020.2750.0690.1128.198
Price To Earnings Diluted Ratio7.3006.3525.4376.37810.247
Price To Earnings Diluted Growth Ratio0.8020.2750.0690.1128.198
Price To Book Ratio0.9870.9770.7500.5500.649
Price To Sales Ratio4.8771.6121.3211.7784.135
Price To Free Cash Flow Ratio4.466-1.1570.851-0.761-0.738
Price To Operating Cash Flow Ratio4.433-1.1590.850-0.764-0.739
Debt To Assets Ratio0.3270.3870.4350.5100.466
Debt To Equity Ratio2.4903.4283.8874.4273.780
Debt To Capital Ratio0.7130.7740.7950.8160.791
Long Term Debt To Capital Ratio0.7060.6690.6860.6750.635
Financial Leverage Ratio7.6178.8688.9258.6828.105
Working Capital Turnover Ratio-0.199-0.169-0.154-0.080-0.048
Operating Cash Flow Ratio2.863-0.1520.162-0.133-0.172
Operating Cash Flow Sales Ratio1.100-1.3911.554-2.327-5.597
Free Cash Flow Operating Cash Flow Ratio0.9931.0020.9981.0041.001
Debt Service Coverage Ratio0.3610.0880.0680.0350.032
Interest Coverage Ratio0.4560.3920.3720.4991.159
Short Term Operating Cash Flow Coverage Ratio2.863-0.6040.522-0.309-0.434
Operating Cash Flow Coverage Ratio0.089-0.2460.227-0.163-0.232
Capital Expenditure Coverage Ratio133.640-621.782506.734-282.857-1,081.531
Dividend Paid And Capex Coverage Ratio3.949-15.11327.685-19.805-22.138
Dividend Payout Ratio0.4050.3540.2180.3930.615
Enterprise Value Multiple17.24018.75320.88043.06247.446

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 93.5% 58.4% 40.9%
Ebit Margin 66.8% 41.4% 29.9%
Ebitda Margin 66.8% 41.0% 29.1%
Operating Profit Margin 66.8% 41.4% 29.9%
Pretax Profit Margin 66.8% 41.4% 29.9%
Continuous Operations Profit Margin 66.8% 41.4% 29.9%
Net Profit Margin 66.8% 41.4% 29.9%
Bottom Line Profit Margin 66.8% 41.4% 29.9%
Current Ratio 14.752 14.457 11.580
Quick Ratio 14.752 14.457 11.580
Solvency Ratio 0.020 0.001 0.005
Cash Ratio 14.740 14.475 11.584
Price To Earnings Ratio 7.300 0.948 0.157
Price To Earnings Growth Ratio 0.801 0.526 -1.089
Forward Price To Earnings Growth Ratio 0.801 0.526 -1.089
Price To Earnings Diluted Ratio 7.300 0.948 0.157
Price To Earnings Diluted Growth Ratio 0.801 0.526 -1.089
Price To Book Ratio 0.987 0.009 0.204
Price To Sales Ratio 4.877 3.265 2.132
Price To Free Cash Flow Ratio 4.466 5.623 3.934
Price To Operating Cash Flow Ratio 4.433 5.592 3.909
Debt To Assets Ratio 0.327 -0.060 -0.098
Debt To Equity Ratio 2.490 -0.939 -1.113
Debt To Capital Ratio 0.713 -0.061 -0.065
Long Term Debt To Capital Ratio 0.706 0.037 0.032
Financial Leverage Ratio 7.617 -1.252 -0.823
Working Capital Turnover Ratio -0.199 -0.030 -0.069
Operating Cash Flow Ratio 2.863 3.015 2.350
Operating Cash Flow Sales Ratio 1.100 2.491 2.432
Free Cash Flow Operating Cash Flow Ratio 0.993 -0.009 -0.007
Debt Service Coverage Ratio 0.361 0.274 0.244
Interest Coverage Ratio 0.456 0.065 -0.119
Short Term Operating Cash Flow Coverage Ratio 2.863 3.467 2.455
Operating Cash Flow Coverage Ratio 0.089 0.335 0.154
Capital Expenditure Coverage Ratio 133.640 755.422 402.799
Dividend Paid And Capex Coverage Ratio 3.949 19.062 9.033
Dividend Payout Ratio 0.405 0.051 0.008
Enterprise Value Multiple 17.241 -1.512 -12.236

Key metrics

MetricTrend20252024202320222021
Market cap$1.66B$1.31B$902.5M$588.1M$644.0M
Enterprise value$3.91B$3.93B$3.53B$4.08B$3.14B
EV / Sales11.52x4.84x5.17x12.34x20.16x
EV / Op. cash flow10.47x-3.48x3.33x-5.30x-3.60x
EV / Free cash flow10.55x-3.48x3.33x-5.28x-3.60x
EV / EBITDA17.24x18.75x20.88x43.06x47.45x
Net debt / EBITDA9.94x12.51x15.55x36.85x37.72x
Current ratio14.75x0.30x0.33x0.23x0.25x
Income quality1.65x-5.48x6.39x-8.36x-13.90x
Graham number$79$68$58$41$30
Graham net-net-$245-$228-$203-$191-$149
Tax burden100.0%100.0%100.0%100.0%100.0%
Interest burden100.0%100.0%100.0%100.0%100.0%
Working capital$1.79B-$5.22B-$4.40B-$4.46B-$3.79B
Invested capital$1.83B-$5.19B-$4.38B-$4.44B-$3.77B
Return on assets1.8%1.7%1.5%1.0%0.8%
Operating ROA1.8%1.8%1.7%1.1%0.9%
Return on tangible assets1.8%1.7%1.5%1.0%0.8%
Return on equity13.5%15.4%13.8%8.6%6.3%
Return on invested capital1.8%3.3%2.7%1.5%1.3%
Return on capital employed1.8%4.6%4.0%2.6%2.1%
Earnings yield13.7%15.8%18.4%15.6%9.7%
Free cash flow yield22.4%-86.4%117.4%-131.3%-135.5%
Capex / Op. cash flow0.7%-0.2%0.2%-0.4%-0.1%
Capex / Depreciation0.0%50.9%67.7%100.2%23.1%
Capex / Sales0.8%0.2%0.3%0.8%0.5%
SG&A / Sales16.3%8.4%8.9%13.7%19.4%
R&D / Sales0.0%0.0%0.0%0.0%0.0%
Stock comp / Sales0.0%0.9%0.8%0.7%1.2%
Intangibles / Total assets0.1%0.0%0.0%0.0%0.0%
Days sales outstanding101d55d62d79d58d
Days payables outstanding145d65d75d125d100d
Operating cycle101d55d62d79d58d
Cash conversion cycle-43d-9d-13d-46d-42d

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 ▲+26.7%EV / Sales ▲+137.7%EV / EBITDA ▼-8.1%EV / Op. cash flow ▲+13.953Earnings yield ▼-0.021Graham number ▲+11.092
Profitability
Return on equity ▼-0.019Return on assets +0.000Return on invested capital ▼-0.015Return on capital employed ▼-0.028Operating ROA +0.000Income quality ▲+7.123Tax burden 0.000
Efficiency
Days sales outstanding ▲+46.312Days payables outstanding ▲+80.029Operating cycle ▲+46.312Cash conversion cycle ▼-33.717Capex / Sales ▲+0.006R&D / Sales n/a
Balance-sheet strength
Current ratio ▲+14.457Net debt / EBITDA ▼-2.572Working capital ▲+7010392001.000Invested capital ▲+7017470001.000Intangibles / Total assets ▲+0.001

Change over 5 years

Valuation
Market cap ▲+157.2%EV / Sales ▼-42.9%EV / EBITDA ▼-63.7%EV / Op. cash flow ▲+14.072Earnings yield ▲+0.040Graham number ▲+48.344
Profitability
Return on equity ▲+0.072Return on assets ▲+0.010Return on invested capital ▲+0.005Return on capital employed ▼-0.003Operating ROA ▲+0.010Income quality ▲+15.551Tax burden 0.000
Efficiency
Days sales outstanding ▲+43.444Days payables outstanding ▲+44.262Operating cycle ▲+43.444Cash conversion cycle ▼-0.818Capex / Sales ▲+0.003R&D / Sales n/a
Balance-sheet strength
Current ratio ▲+14.500Net debt / EBITDA ▼-27.775Working capital ▲+5584103001.000Invested capital ▲+5594636001.000Intangibles / Total assets ▲+0.001

Employee count

Peer market caps

Congressional trades

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