← Insiders

SLAI

ACHAT TOTAL: 54275 titres (~194006 USD)

Insiders
Law Man San
Total bought
$194,006
Total sold
Last activity
2026-07-16
Last synced
2026-08-04 10:23:03 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

Bearish signal Scored 2026-08-03

SLAI presents a critically distressed financial profile with near-zero liquidity (35), severely negative fundamentals (15), and a catalyst score (15) entirely dominated by NYSE delisting proceedings that nullify any…

The first sentence of the analysis written for SLAI on 2026-08-03 - 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 Margin-46.9%9.1%7.1%-7.3%26.5%
Ebit Margin-139.7%-34.2%-69.4%-138.9%-72.8%
Ebitda Margin-61.2%6.0%-40.2%-77.9%-32.7%
Operating Profit Margin-139.7%-34.2%-69.4%-54.2%-45.6%
Pretax Profit Margin-149.9%-21.3%-58.9%-139.3%-74.2%
Continuous Operations Profit Margin-149.9%-21.3%-58.9%-139.3%-73.5%
Net Profit Margin-147.3%36.7%-66.6%-272.5%-116.1%
Bottom Line Profit Margin-147.3%36.7%-66.6%-272.5%-116.1%
Current Ratio1.7491.7040.7541.1141.105
Quick Ratio1.7491.7040.7541.1101.057
Solvency Ratio-1.4601.293-0.340-3.583-0.072
Cash Ratio0.1420.1610.0720.1770.033
Price To Earnings Ratio-1.567-4.345-2.000-0.083-13.798
Price To Earnings Growth Ratio0.0600.0560.023-0.0000.158
Forward Price To Earnings Growth Ratio0.0600.0560.023-0.0000.158
Price To Earnings Diluted Ratio-1.567-4.500-2.000-0.088-13.798
Price To Earnings Diluted Growth Ratio0.0670.0570.023-0.0000.158
Price To Book Ratio0.3390.5192.2810.3230.334
Price To Sales Ratio0.5030.8971.3300.2317.106
Price To Free Cash Flow Ratio-1.278-0.871-1.300-0.170-4.205
Price To Operating Cash Flow Ratio-1.310-0.902-2.018-0.207-11.150
Debt To Assets Ratio0.0420.1550.0580.0560.023
Debt To Equity Ratio0.0570.2350.1680.1030.038
Debt To Capital Ratio0.0540.1900.1440.0930.036
Long Term Debt To Capital Ratio0.0000.0000.0000.0000.000
Financial Leverage Ratio1.3321.5172.8891.8251.636
Working Capital Turnover Ratio2.991-20.843-11.4331.9060.338
Operating Cash Flow Ratio-0.884-2.914-0.632-2.061-0.064
Operating Cash Flow Sales Ratio-0.384-0.995-0.659-1.115-0.637
Free Cash Flow Operating Cash Flow Ratio1.0251.0361.5511.2172.652
Debt Service Coverage Ratio-13.1011.3270.000-203.830-22.200
Interest Coverage Ratio0.0000.0000.000-141.702-31.641
Short Term Operating Cash Flow Coverage Ratio-8.213-22.0490.0000.0000.000
Operating Cash Flow Coverage Ratio-4.568-2.446-6.735-15.119-0.795
Capital Expenditure Coverage Ratio-40.137-27.866-1.814-4.612-0.606
Dividend Paid And Capex Coverage Ratio-40.137-27.866-1.814-4.612-0.606
Dividend Payout Ratio0.0000.0000.0000.0000.000
Enterprise Value Multiple-0.85820.854-3.361-0.269-23.203

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 -46.9% -56.0% -44.6%
Ebit Margin -139.7% -105.5% -48.7%
Ebitda Margin -61.2% -67.2% -20.0%
Operating Profit Margin -139.7% -105.5% -71.1%
Pretax Profit Margin -149.9% -128.6% -61.2%
Continuous Operations Profit Margin -149.9% -128.6% -61.3%
Net Profit Margin -147.3% -184.0% -34.1%
Bottom Line Profit Margin -147.3% -184.0% -34.1%
Current Ratio 1.749 0.045 0.464
Quick Ratio 1.749 0.045 0.474
Solvency Ratio -1.460 -2.753 -0.628
Cash Ratio 0.142 -0.019 0.025
Price To Earnings Ratio -1.567 2.778 2.792
Price To Earnings Growth Ratio 0.060 0.004 0.001
Forward Price To Earnings Growth Ratio 0.060 0.004 0.001
Price To Earnings Diluted Ratio -1.567 2.933 2.824
Price To Earnings Diluted Growth Ratio 0.067 0.009 0.006
Price To Book Ratio 0.339 -0.180 -0.420
Price To Sales Ratio 0.503 -0.394 -1.511
Price To Free Cash Flow Ratio -1.278 -0.407 0.287
Price To Operating Cash Flow Ratio -1.310 -0.408 1.807
Debt To Assets Ratio 0.043 -0.113 -0.025
Debt To Equity Ratio 0.057 -0.179 -0.064
Debt To Capital Ratio 0.054 -0.137 -0.050
Long Term Debt To Capital Ratio 0.000 0.000 0.000
Financial Leverage Ratio 1.332 -0.185 -0.508
Working Capital Turnover Ratio 2.991 23.834 8.399
Operating Cash Flow Ratio -0.884 2.030 0.427
Operating Cash Flow Sales Ratio -0.384 0.611 0.374
Free Cash Flow Operating Cash Flow Ratio 1.025 -0.011 -0.471
Debt Service Coverage Ratio -13.101 -14.429 34.460
Interest Coverage Ratio 0.000 0.000 34.669
Short Term Operating Cash Flow Coverage Ratio -8.213 13.836 -2.160
Operating Cash Flow Coverage Ratio -4.568 -2.122 1.364
Capital Expenditure Coverage Ratio -40.137 -12.271 -25.130
Dividend Paid And Capex Coverage Ratio -40.137 -12.271 -25.130
Dividend Payout Ratio 0.000 0.000 0.000
Enterprise Value Multiple -0.858 -21.712 0.510

Key metrics

MetricTrend20252024202320222021
Market cap$11.6M$29.5M$57.3M$13.2M$382.1M
Enterprise value$12.1M$41.1M$58.3M$11.9M$407.5M
EV / Sales0.53x1.25x1.35x0.21x7.58x
EV / Op. cash flow-1.37x-1.25x-2.05x-0.19x-11.89x
EV / Free cash flow-1.33x-1.21x-1.32x-0.15x-4.49x
EV / EBITDA-0.86x20.85x-3.36x-0.27x-23.20x
Net debt / EBITDA-0.04x5.87x-0.06x0.03x-1.45x
Current ratio1.75x1.70x0.75x1.11x1.10x
Income quality0.26x4.78x0.99x0.40x0.47x
Graham number$1
Graham net-net-$2-$9-$27-$16-$601
Tax burden98.3%-172.3%113.1%195.7%156.4%
Interest burden107.3%62.3%84.9%100.3%102.0%
Working capital$7.5M$7.9M-$11.1M$3.5M$56.3M
Invested capital$27.5M$41.5M$18.1M$25.7M$239.3M
Return on assets-74.5%14.0%-39.5%-208.7%-3.3%
Operating ROA-48.8%-14.2%-40.7%-3.2%-2.1%
Return on tangible assets-85.5%16.0%-40.7%-218.4%-3.5%
Return on equity-99.2%21.2%-114.2%-380.9%-5.5%
Return on invested capital-87.8%-12.9%-101.9%-68.6%-1.8%
Return on capital employed-90.5%-15.0%-108.1%-70.8%-1.8%
Earnings yield-292.9%40.9%-50.1%-1179.3%-16.3%
Free cash flow yield-78.2%-114.9%-76.9%-586.9%-23.8%
Capex / Op. cash flow-2.5%-3.6%-55.1%-21.7%-165.2%
Capex / Depreciation1.2%0.0%124.8%39.6%262.6%
Capex / Sales1.0%3.6%36.3%24.2%105.3%
SG&A / Sales79.6%41.8%43.2%39.1%43.1%
R&D / Sales0.0%0.2%2.0%3.9%2.3%
Stock comp / Sales0.0%3.7%2.4%7.8%12.0%
Intangibles / Total assets12.9%12.8%2.8%4.4%5.5%
Days sales outstanding92d51d22d57d5d
Days payables outstanding6d0d7d22d502d
Operating cycle92d51d22d58d241d
Cash conversion cycle86d51d15d36d-262d

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 ▼-60.7%EV / Sales ▼-57.9%EV / EBITDA ▼-104.1%EV / Op. cash flow ▼-0.113Earnings yield ▼-3.338
Profitability
Return on equity ▼-1.204Return on assets ▼-0.885Return on invested capital ▼-0.750Return on capital employed ▼-0.755Operating ROA ▼-0.347Income quality ▼-4.517Tax burden ▲+2.705
Efficiency
Days sales outstanding ▲+40.585Days payables outstanding ▲+5.793Operating cycle ▲+40.585Cash conversion cycle ▲+34.791Capex / Sales ▼-0.026R&D / Sales ▼-0.002
Balance-sheet strength
Current ratio ▲+0.045Net debt / EBITDA ▼-5.910Working capital ▼-402968.000Invested capital ▼-13986883.000Intangibles / Total assets +0.000

Change over 5 years

Valuation
Market cap ▼-97.0%EV / Sales ▼-93.1%EV / EBITDA ▲+96.3%EV / Op. cash flow ▲+10.523Earnings yield ▼-2.766
Profitability
Return on equity ▼-0.938Return on assets ▼-0.711Return on invested capital ▼-0.860Return on capital employed ▼-0.887Operating ROA ▼-0.467Income quality ▼-0.212Tax burden ▼-0.582
Efficiency
Days sales outstanding ▲+86.925Days payables outstanding ▼-496.314Operating cycle ▼-148.701Cash conversion cycle ▲+347.613Capex / Sales ▼-1.043R&D / Sales ▼-0.023
Balance-sheet strength
Current ratio ▲+0.644Net debt / EBITDA ▲+1.411Working capital ▼-48790913.000Invested capital ▼-211778828.000Intangibles / Total assets ▲+0.073

Employee count

Peer market caps

Congressional trades

No congressional trade data synced.

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