FAZE3Q.NS
Key Ratios

Net Profit Margin: Making moderate profit when compared with its revenue which generally means a slow or stable business or a small company who just started making profit

Acid Test Ratio: It has moderate liquidity, which means it would be difficult for the company to pay short-term obligations

Inventory Turnover: Very Slow Inventory movement or over stocking risk

Coverage Analysis: Company is comfortably able to pay its interest payments from its earnings (EBIT + Lease Payments)

Debt to Equity Ratio: Company has low debt when compared to its equity which means it is financially stable

P/E Ratio: Fairly valued stock which is a sign of mature companies

Performance Graph
Financial Ratios
Ratio Value
PE Ratio22.04
Net Profit Margin0.09
Acid Test Ratio0.97
Inventory Turnover2.23
Coverage Ratio3.57
Debt to Equity0.45
Key Ratios

Net Profit Margin: Making moderate profit when compared with its revenue which generally means a slow or stable business or a small company who just started making profit

Return on Assets: Very high efficiency of the assets which indicates assets are making high contribution to the revenue

Return on Equity: Giving good returns on equity which is generally acceptable for most industries

Performance Graph
Profitability Ratios
Ratio Value
Net Profit Margin0.09
Return on Assets1.67
Return on Equity0.12
Performance Graph
Key Ratios

Acid Test Ratio: It has moderate liquidity, which means it would be difficult for the company to pay short-term obligations

Current Ratio: It has a good balance between assets & liabilities and would be just able to cover its short-term liabilities

Performance Graph
Liquidity Ratios
Ratio Value
Acid Test Ratio0.97
Current Ratio1.65
Performance Graph
Key Ratios

Inventory Turnover: Very Slow Inventory movement or over stocking risk

Performance Graph
Efficiency Ratios
Ratio Value
Inventory Turnover2.23
Performance Graph
Key Ratios

Coverage Analysis: Company is comfortably able to pay its interest payments from its earnings (EBIT + Lease Payments)

Performance Graph
Coverage Ratios
Ratio Value
Coverage Ratio3.57
Performance Graph
Key Ratios

Debt to Equity Ratio: Company has low debt when compared to its equity which means it is financially stable

Interest Coverage Ratio: Company is at low risk of getting default as it can easily cover its interest payments and strong financial health

Performance Graph
Solvency Ratios
Ratio Value
Debt to Equity Ratio0.45
Interest Coverage Ratio6.55
Performance Graph
Key Ratios

P/E Ratio: Fairly valued stock which is a sign of mature companies

Dividend Yield: Low yield, focus on growth rather than dividends (Low dividend yield, which means company is focusing on growth

Performance Graph
Market Ratios
Ratio Value
P/E Ratio22.04
Gross Profit Margin0.45
Price to Book Ratio2.70
Dividend Yield0.00
Performance Graph

Balance Sheet Analysis of Faze Three Limited

The balance sheet in the financial statement of the company shows its financial position at a particular point in time.

It consists of the following:

  • Assets: Something that the company owns and that gives financial benefits over a period of time.
  • Liabilities: Something that a company owes and that has a financial burden on the company.
  • Equity: It is basically the owner’s share in the company.

The formula is:

Assets = Liabilities + Equity
đź“ŚAssets:
Asset
Value & Year
2024
2023
2022
Total Assets 5934800000 5465700000 4876000000
Total Non Current Assets 2713400000 2292900000 1803000000
Other Non Current Assets 62600000 100000 -100000
Non Current Prepaid Assets 62900000 18700000 10600000
Non Current Deferred Taxes Assets - - -
Financial Assets - - -
Investment In Financial Assets 3100000 2900000 3300000
Held To Maturity Securities - - -
Available For Sale Securities 1000000 800000 1200000
Financial Assets Fair Value 2100000 2100000 2100000
Long Term Equity Investment - - -
Investments In Associates At Cost - - -
Goodwill And Other Intangible Assets 1800000 500000 200000
Other Intangible Assets 1800000 500000 200000
Goodwill - - -
Net Ppe 2645600000 2263900000 1782200000
Accumulated Depreciation -1357000000 -1278500000 -1145400000
Gross Ppe 4002600000 3542400000 2927600000
Construction In Progress 128600000 103700000 174200000
Other Properties 147800000 111200000 92600000
Machinery Furniture Equipment 2316800000 2032900000 1468800000
Buildings And Improvements 730800000 667000000 564400000
Land And Improvements 678600000 627600000 627600000
Properties - - -
Current Assets 3221400000 3172800000 3073000000
Other Current Assets 309600000 100000 100000
Hedging Assets Current - 7200000 9000000
Assets Held For Sale Current - - -
Restricted Cash 400000 400000 200000
Prepaid Assets 54600000 32800000 194700000
Inventory 1329500000 804600000 1150700000
Other Inventories 30900000 27000000 25800000
Finished Goods 196600000 202900000 352200000
Work In Process 610200000 306100000 386500000
Raw Materials 491800000 268600000 386200000
Other Receivables 4400000 7000000 21100000
Taxes Receivable 254900000 195700000 212700000
Accounts Receivable 752000000 962700000 818300000
Allowance For Doubtful Accounts Receivable - - -
Gross Accounts Receivable - 962700000 818300000
Cash Cash Equivalents And Short Term Investments 825600000 1162400000 666300000
Other Short Term Investments 468500000 544000000 607000000
Cash And Cash Equivalents 357100000 618400000 59300000
Cash Equivalents 178100000 429800000 -
Cash Financial 179000000 188600000 59300000
đź“Ś Liabilities & Equity
Liability/Equity
Value & Year
2024
2023
2022
Net Debt 1208800000 989100000 1519800000
Total Debt 1696800000 1740200000 1669200000
Total Liabilities Net Minority Interest 2128400000 2119600000 2092900000
Total Non Current Liabilities Net Minority Interest 176000000 177200000 130000000
Other Non Current Liabilities 200000 -100000 -100000
Derivative Product Liabilities - - -
Non Current Pension And Other Postretirement Benefit Plans 21200000 19000000 15800000
Trade And Other Payables Non Current - - -
Non Current Deferred Revenue - - -
Non Current Deferred Taxes Liabilities 61400000 46300000 33300000
Long Term Debt And Capital Lease Obligation 92100000 109300000 79600000
Long Term Capital Lease Obligation 92100000 109300000 76900000
Long Term Debt - - 2700000
Long Term Provisions 21200000 19000000 15800000
Current Liabilities 1952400000 1942400000 1962900000
Other Current Liabilities 11800000 8400000 100000
Current Deferred Taxes Liabilities 7600000 7300000 -
Current Debt And Capital Lease Obligation 1604700000 1630900000 1589600000
Current Capital Lease Obligation 38800000 23400000 13200000
Current Debt 1565900000 1607500000 1576400000
Pension And Other Post Retirement Benefit Plans Current 33800000 24800000 22200000
Current Provisions 33800000 24800000 22200000
Payables 302700000 278800000 330400000
Other Payable 115900000 119900000 113700000
Dividends Payable 400000 400000 200000
Total Tax Payable 7600000 1500000 -
Accounts Payable 186400000 158500000 216500000
Common Stock Equity 3806400000 3346100000 2783100000
Total Capitalization 3806400000 3346100000 2785800000
Total Equity Gross Minority Interest 3806400000 3346100000 2783100000
Minority Interest - - -
Stockholders Equity 3806400000 3346100000 2783100000
Other Equity Interest 3563400000 -100000 -100000
Treasury Stock - - -
Retained Earnings 1781300000 1319600000 758600000
Additional Paid In Capital 244400000 244400000 244400000
Capital Stock 243200000 243200000 243200000
Common Stock 243200000 243200000 243200000

Income statement interpretation for Faze Three Limited

The income statement in the financial statement of the company shows its company financial performance over a period in time.

It consists of the following:

  • Revenue: It is the total amount of money earned from the core business activity of the company.
  • Expenses: It is the total amount required for running the full functionality of the company.
  • Profit or loss:In very simple terms, when a company pays its expenses using its revenue, then what’s left is profit, and in case expenses are more when compared with revenue, then it is loss.
đź“ŚRevenue & Profitability
Revenue/Profitability
Value & Year
2024
2023
2022
Total Revenue 5389100000 5309600000 4772300000
Operating Revenue 5389100000 5309600000 4772300000
Cost Of Revenue 2964200000 2856900000 2670600000
Gross Profit 2424900000 2452700000 2101700000
Ebitda 943000000 999300000 867200000
Ebit 737000000 854600000 763900000
Operating Income 795400000 892400000 742300000
Net Income 465900000 583000000 510800000
Net Income From Continuing Operation Net Minority Interest 465900000 583000000 510800000
Net Income From Continuing And Discontinued Operation 465900000 583000000 510800000
Net Income Common Stockholders 465900000 583000000 510800000
Net Income Including Noncontrolling Interests 465900000 583000000 510800000
Net Income Discontinuous Operations - - -
Net Income Continuous Operations 465900000 583000000 510800000
Normalized Income 462020608 573611311 523677310
Normalized Ebitda 937800000 986800000 885200000
Total Unusual Items 5200000 12500000 -18000000
Total Unusual Items Excluding Goodwill 5200000 12500000 -18000000
đź“ŚExpenses & Taxes
Expenses/Taxes
Value & Year
2024
2023
2022
Reconciled Depreciation 206000000 144700000 103300000
Reconciled Cost Of Revenue 2964200000 2856900000 2670600000
Total Expenses 4593700000 4417200000 4030000000
Operating Expense 1629500000 1560300000 1359400000
Other Operating Expenses 403800000 471700000 474800000
Depreciation And Amortization In Income Statement 206000000 144700000 101900000
Amortization 2000000 1700000 1700000
Depreciation Income Statement 204000000 143000000 100200000
Selling General And Administration 184400000 209200000 98700000
Selling And Marketing Expense 100900000 116300000 19400000
General And Administrative Expense 83500000 92900000 79300000
Rent And Landing Fees 16800000 42400000 32100000
Tax Provision 158600000 193200000 203200000
Pretax Income 624500000 776200000 714000000
Other Non Operating Income Expenses 16900000 5900000 11300000
Special Income Charges -4000000 -700000 -
Other Special Charges 4000000 700000 -8400000
Write Off - - -
Net Non Operating Interest Income Expense -165700000 -115000000 -54300000
Total Other Finance Cost 104100000 72100000 27500000
Interest Expense Non Operating 112500000 78400000 49900000
Interest Income Non Operating 50900000 35500000 23100000
đź“Ś Earnings Per Share
Earnings Per Share
Value & Year
2024
2023
2022
Diluted Eps 19.16 23.97 21.00
Basic Eps 19.16 23.97 21.00
Diluted Ni Avail To Com Stockholders 465900000 583000000 510800000
Net Income From Continuing Operations 624500000 776200000 714000000
Minority Interests - - -

Cash flow analysis for Faze Three Limited

The cashflow statement in the financial statement of the company shows how cash is moving in or moving out of the company over a period of time.

It consists of the following:

  • Operating activities: Cash flow from the core business operations.
  • Investing activities: Cashflow from investments made by the company.
  • Financing activities: These are cash from loans or by issuing shares or paying out dividends.
đź“ŚOperating Cash Flow
Operating Cash Flow
Value & Year
2024
2023
2022
Operating Cash Flow 370100000 1100100000 -65300000
Changes In Cash -272000000 601400000 34900000
Taxes Refund Paid -186600000 -180800000 -133200000
Change In Working Capital -318300000 324900000 -764400000
Change In Other Current Liabilities 19100000 -22300000 23900000
Change In Other Current Assets -107400000 176700000 -299400000
Change In Payable 8300000 -94100000 87900000
Change In Inventory -432500000 347000000 -484200000
Change In Receivables 190700000 -86100000 -94500000
Other Non Cash Items 53100000 44900000 16400000
Stock Based Compensation - - -
Provision And Write Off Of Assets - -1400000 -1400000
Depreciation And Amortization 206000000 144700000 103300000
Amortization Cash Flow 2000000 1700000 1700000
Depreciation 204000000 144700000 101600000
đź“ŚInvesting Cash Flow
Investing Cash Flow
Value & Year
2024
2023
2022
Investing Cash Flow -454500000 -438300000 -508200000
Net Other Investing Changes - - -
Interest Received Cfi 62200000 30600000 23000000
Dividends Received Cfi - - -
Net Investment Purchase And Sale 85700000 77300000 -206000000
Sale Of Investment 96700000 82100000 -
Purchase Of Investment -11000000 -4800000 -206000000
Net Business Purchase And Sale - - -
Sale Of Business - - -
Purchase Of Business - - -
Net Ppe Purchase And Sale -602400000 -546200000 -325200000
Sale Of Ppe - 700000 1200000
Purchase Of Ppe -602400000 -546900000 -326400000
Net Intangibles Purchase And Sale - - -
Purchase Of Intangibles - - -
đź“Ś Financing Cash Flow
Financing Cash Flow
Value & Year
2024
2023
2022
Financing Cash Flow -187600000 -60400000 608400000
Net Other Financing Charges - - -
Interest Paid Cff -99700000 -43200000 -39500000
Cash Dividends Paid - -12100000 -
Common Stock Dividend Paid - -12100000 -
Net Common Stock Issuance - - -
Common Stock Payments - - -
Common Stock Issuance - - -
Repurchase Of Capital Stock - - -
Repayment Of Debt -41600000 - -
Issuance Of Debt - 28300000 662800000
Issuance Of Capital Stock - - -
Net Issuance Payments Of Debt -41600000 28300000 662800000
Net Short Term Debt Issuance - - -
Short Term Debt Issuance - - -
Net Long Term Debt Issuance -41600000 28300000 662800000
Long Term Debt Payments -41600000 - -
Long Term Debt Issuance - 28300000 662800000
Net Preferred Stock Issuance - - -
Preferred Stock Payments - - -

Summary

Fundamental Overview of FAZE3Q.NS (Faze Three Limited)

Above is the summary for fundamental analysis of Faze Three Limited , whose ticker name is FAZE3Q.NS and belongs to sector Consumer Cyclical, and it is listed in NSE (National Stock Exchange).

The Faze Three Limited which is listed in NSE (National Stock Exchange) has a PE ratio of 22.04, FAZE3Q.NS has a net profit margin of 0.09, the acid test ratio for FAZE3Q.NS is 0.97, FAZE3Q.NS has an inventory turnover of 2.23, and FAZE3Q.NS has debt-to-equity ratio of 0.45.

The FAZE3Q.NS whose company name is Faze Three Limited has made profit/loss of 2424900000 with total revenue of 5389100000, FAZE3Q.NS has assets worth of 5934800000.

1. What is fundamental analysis?

Fundamental analysis is looking into a company’s real business performance by analyzing financial statements, earning reports, and key valuation ratios.

Basically, fundamental analysis involves examining a company’s revenue, profits, losses, debts, assets, liabilities, and ratios calculated using these values to determine long-term investment strategies.

Fundamental analysis may not work for short-term trading of stock; it is usually incorporated by long-term investors.

2. Importance of Fundamental Analysis

Imagine you are locking a good amount of funds into an unknown company for many years. Sounds stupid, right?

This is where fundamental analysis comes into the picture, which turns an unknown enemy into a known friend.

As fundamental analysis involves calculating how a company is actually performing, the real revenue, profits, assets, liabilities, debts, and more. This helps investors to determine what the actual current financial condition of the company is, how much the company’s stock price is justified when compared to earnings (Corporate earnings reports India) that it is making through business, what the probability is that the company will go bankrupt in the future, how much growth the company has shown in the past, and other financial ratios.

All these calculations and analyses determine the financial health of the company, historical business growth, company’s efficiency, and its stock price compared with real earnings (Corporate earnings reports India), which helps traders to make investment decisions for long-term investment strategies.

2. How to Use Our Tool

  • Search for the stock that you want to analyze in the search bar by typing the name of the company or ticker.
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  • On the “Fundamental Analysis” page, the first tab is for “Summary and Ratio,” where in the top section you can find the overall summary of the stock’s fundamental analysis, where on the leftmost side it has a textual summary, then in the middle a gauge chart that represents overall financial health, and then a list of important ratios.
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  • Then in the same “Summary and Ratio” tab, we have included a detailed analysis of stock in various aspects, which includes “Profitability Analysis,” “Liquidity Analysis,” “Efficiency Analysis,” “Coverage Analysis,” Solvency Analysis,” and “Market Analysis,” which divide the stock’s fundamentals into the above aspects and analyze each in the same format as for overall analysis, where the leftmost side has a textual summary, then in the middle a gauge chart that represents overall analysis of the particular section, and then a list of important ratios. Required for the particular analysis.
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