← Insiders

BMR

ACHAT TOTAL: 82 650 titres (~106 205,25 $ US)

Insiders
Carmel Sharon
Total bought
$106,205
Total sold
Last activity
2026-07-22
Last synced
2026-07-29 15:28:58 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

Neutral signal Scored 2026-07-29

BMR presents a classic high-risk event-driven setup: a credible insider cluster buy tied to a coherent AV/ML strategic narrative provides a genuine short-term catalyst, but the underlying fundamentals are severely…

The first sentence of the analysis written for BMR on 2026-07-29 - 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

MetricTrend2025-12-312024-12-312023-12-312022-12-312021-12-31
Gross Profit Margin89.7%92.2%96.7%96.6%97.3%
Ebit Margin-192.6%-104.1%-15.5%-36.8%-25.5%
Ebitda Margin-184.8%-98.6%-14.6%-35.8%-19.6%
Operating Profit Margin-208.6%-104.9%-30.2%-36.0%-12.9%
Pretax Profit Margin-194.1%-107.9%-22.6%-41.8%-27.3%
Continuous Operations Profit Margin-194.6%-109.4%-23.9%-43.6%-28.8%
Net Profit Margin-194.6%-109.4%-23.9%-43.6%-28.8%
Bottom Line Profit Margin-194.6%-109.4%-35.6%-43.6%-28.8%
Current Ratio13.14917.7706.7041.4161.405
Quick Ratio13.14917.7706.7041.4161.405
Solvency Ratio-5.988-3.130-0.530-0.186-0.122
Cash Ratio4.35517.0465.9900.7330.728
Price To Earnings Ratio-4.026-22.364-23.126-6.875-8.919
Price To Earnings Growth Ratio-0.052-0.0890.266-0.231-0.043
Forward Price To Earnings Growth Ratio-0.052-0.0890.266-0.231-0.043
Price To Book Ratio1.5463.5401.582-18.50218.746
Price To Sales Ratio7.87824.3545.5802.9732.579
Price To Free Cash Flow Ratio-5.155-33.674-24.262-13.15415.063
Price To Operating Cash Flow Ratio-5.185-39.566-24.630-13.19514.957
Debt To Assets Ratio0.0000.0110.0430.1170.076
Debt To Equity Ratio0.0000.0120.049-1.5591.119
Debt To Capital Ratio0.0000.0120.0462.7900.528
Long Term Debt To Capital Ratio0.0000.0000.016-5.3010.000
Financial Leverage Ratio1.0611.0481.123-13.28714.729
Working Capital Turnover Ratio0.2260.2780.9365.9344.228
Operating Cash Flow Ratio-5.138-1.950-0.645-0.6830.403
Operating Cash Flow Sales Ratio-1.519-0.616-0.227-0.2250.172
Free Cash Flow Operating Cash Flow Ratio1.0061.1751.0151.0030.993
Debt Service Coverage Ratio-127.400-8.380-0.867-2.284-1.235
Interest Coverage Ratio-143.422-27.716-4.283-7.261-7.203
Short Term Operating Cash Flow Coverage Ratio0.000-7.544-1.997-1.9551.120
Operating Cash Flow Coverage Ratio0.000-7.544-1.318-0.9001.120
Capital Expenditure Coverage Ratio-174.111-5.715-65.900-322.500142.250
Dividend Paid And Capex Coverage Ratio-174.111-5.715-65.900-322.500142.250
Dividend Payout Ratio0.0000.0000.0000.0000.000
Enterprise Value Multiple-3.566-19.328-24.977-8.318-12.331

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 89.7% -2.5% -4.8%
Ebit Margin -192.6% -88.5% -117.7%
Ebitda Margin -184.8% -86.2% -114.1%
Operating Profit Margin -208.6% -103.7% -130.1%
Pretax Profit Margin -194.1% -86.2% -115.4%
Continuous Operations Profit Margin -194.6% -85.1% -114.5%
Net Profit Margin -194.6% -85.1% -114.5%
Bottom Line Profit Margin -194.6% -85.1% -112.1%
Current Ratio 13.149 -4.622 5.060
Quick Ratio 13.149 -4.622 5.060
Solvency Ratio -5.988 -2.858 -3.997
Cash Ratio 4.355 -12.690 -1.415
Price To Earnings Ratio -4.026 18.338 9.036
Price To Earnings Growth Ratio -0.052 0.037 -0.022
Forward Price To Earnings Growth Ratio -0.052 0.037 -0.022
Price To Book Ratio 1.546 -1.994 0.164
Price To Sales Ratio 7.878 -16.476 -0.795
Price To Free Cash Flow Ratio -5.155 28.519 7.081
Price To Operating Cash Flow Ratio -5.185 34.381 8.339
Debt To Assets Ratio 0.000 -0.011 -0.050
Debt To Equity Ratio 0.000 -0.012 0.076
Debt To Capital Ratio 0.000 -0.012 -0.675
Long Term Debt To Capital Ratio 0.000 0.000 1.057
Financial Leverage Ratio 1.061 0.013 0.126
Working Capital Turnover Ratio 0.226 -0.052 -2.094
Operating Cash Flow Ratio -5.138 -3.187 -3.535
Operating Cash Flow Sales Ratio -1.519 -0.904 -1.036
Free Cash Flow Operating Cash Flow Ratio 1.006 -0.169 -0.033
Debt Service Coverage Ratio -127.400 -119.020 -99.367
Interest Coverage Ratio -143.422 -115.707 -105.445
Short Term Operating Cash Flow Coverage Ratio 0.000 7.544 2.075
Operating Cash Flow Coverage Ratio 0.000 7.544 1.728
Capital Expenditure Coverage Ratio -174.111 -168.396 -88.916
Dividend Paid And Capex Coverage Ratio -174.111 -168.396 -88.916
Dividend Payout Ratio 0.000 0.000 0.000
Enterprise Value Multiple -3.566 15.762 10.138

Key metrics

MetricTrend20252024202320222021
Market cap$24.4M$74.6M$16.2M$8.5M$8.5M
Enterprise value$20.4M$58.4M$10.6M$8.5M$8.0M
EV / Sales6.59x19.06x3.65x2.98x2.42x
EV / Op. cash flow-4.34x-30.96x-16.11x-13.23x14.04x
EV / Free cash flow-4.31x-26.35x-15.87x-13.19x14.14x
EV / EBITDA-3.57x-19.33x-24.98x-8.32x-12.33x
Net debt / EBITDA0.70x5.37x13.21x-0.02x0.80x
Current ratio13.15x17.77x6.70x1.42x1.41x
Income quality0.78x0.56x0.95x0.52x-0.60x
Graham net-net$1$1$0-$2-$2
Tax burden100.2%101.4%105.9%104.3%105.8%
Interest burden100.8%103.6%145.5%113.5%107.0%
Working capital$11.1M$16.2M$5.8M$393K$572K
Invested capital$15.8M$21.1M$10.5M$4.9M$5.1M
Return on assets-36.0%-15.2%-6.0%-20.4%-14.2%
Operating ROA-33.2%-19.1%-10.0%-16.1%-6.2%
Return on tangible assets-49.8%-19.5%-10.1%-74.9%-42.9%
Return on equity-38.2%-15.9%-6.8%271.3%-209.7%
Return on invested capital-40.8%-15.0%-8.1%-18.8%-7.4%
Return on capital employed-40.8%-15.2%-8.4%-20.0%-8.1%
Earnings yield-24.7%-4.5%-4.3%-14.7%-11.2%
Free cash flow yield-19.4%-3.0%-4.1%-7.6%6.6%
Capex / Op. cash flow-0.6%-17.5%-1.5%-0.3%0.7%
Capex / Depreciation11.2%194.1%38.5%7.1%2.1%
Capex / Sales0.9%10.8%0.3%0.1%0.1%
SG&A / Sales148.7%102.0%63.5%59.8%50.0%
R&D / Sales148.8%94.4%62.7%72.1%61.6%
Stock comp / Sales22.1%13.6%12.5%7.8%4.8%
Intangibles / Total assets27.8%22.0%40.4%72.7%66.8%
Days sales outstanding31d60d75d74d99d
Days payables outstanding138d15d27d123d110d
Operating cycle31d60d75d74d99d
Cash conversion cycle-106d45d48d-49d-11d

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 ▼-67.3%EV / Sales ▼-65.4%EV / EBITDA ▲+81.6%EV / Op. cash flow ▲+26.622Earnings yield ▼-0.202
Profitability
Return on equity ▼-0.223Return on assets ▼-0.208Return on invested capital ▼-0.258Return on capital employed ▼-0.256Operating ROA ▼-0.141Income quality ▲+0.218Tax burden ▼-0.011
Efficiency
Days sales outstanding ▼-28.897Days payables outstanding ▲+122.528Operating cycle ▼-28.897Cash conversion cycle ▼-151.425Capex / Sales ▼-0.099R&D / Sales ▲+0.544
Balance-sheet strength
Current ratio ▼-4.622Net debt / EBITDA ▼-4.676Working capital ▼-5101000.000Invested capital ▼-5316000.000Intangibles / Total assets ▲+0.058

Change over 5 years

Valuation
Market cap ▲+186.4%EV / Sales ▲+172.2%EV / EBITDA ▲+71.1%EV / Op. cash flow ▼-18.381Earnings yield ▼-0.135
Profitability
Return on equity ▲+1.715Return on assets ▼-0.218Return on invested capital ▼-0.335Return on capital employed ▼-0.328Operating ROA ▼-0.270Income quality ▲+1.379Tax burden ▼-0.055
Efficiency
Days sales outstanding ▼-67.170Days payables outstanding ▲+28.236Operating cycle ▼-67.170Cash conversion cycle ▼-95.406Capex / Sales ▲+0.008R&D / Sales ▲+0.872
Balance-sheet strength
Current ratio ▲+11.744Net debt / EBITDA ▼-0.106Working capital ▲+10544000.000Invested capital ▲+10753000.000Intangibles / Total assets ▼-0.390

Employee count

Peer market caps

Congressional trades

No congressional trade data synced.

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