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BIYA Baiya International Group Inc. - Fundamental Analysis

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BIYA Stock | Fundamental Analysis & Investment Insights
NASDAQ Technology Software - Application
Current Price Live
$2.98
52W High
$200.0
52W Low
$2.84

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Confidence Score
87%
Analysis Accuracy
BIYA's Advanced Deterministic Scorecard reveals severe financial distress: a Piotroski F-Score of 3/9 indicates weak operational health, and the absence of an Altman Z-Score raises red flags for potential bankruptcy risk. Despite a low Price/Sales of 0.29 and Price/Book of 0.11, the company exhibits deep profitability issues with a -35.44% profit margin, -65.08% operating margin, and negative ROE/ROA, undermining any apparent value. The stock trades at a 52-week high of $200.00 but currently at $2.98, suggesting extreme volatility and speculative pricing. With no analyst coverage, no dividend, and no cash flow data, the investment case lacks credibility. The 6.9% revenue growth is insufficient to offset massive losses and negative fundamentals.

Key Strengths

Low Price/Sales ratio (0.29) suggests potential undervaluation on top-line metrics
High current ratio (5.58) and quick ratio (4.48) indicate strong short-term liquidity
Extremely low Debt/Equity (0.01) implies minimal leverage risk
Recent 52-week low of $2.84 is near current price, suggesting possible support level
Slight revenue growth (6.9% YoY) despite negative profitability

Key Risks

Piotroski F-Score of 3/9 signals weak financial health and operational inefficiency
Negative profit, operating, and return metrics (ROE -40.58%, ROA -16.93%) indicate unsustainable business model
No available cash flow or earnings data undermines fundamental analysis
Absence of analyst coverage and target prices reflects lack of institutional interest
Extreme price volatility (52-week range: $2.84–$200.00) suggests speculative bubble risk

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