Caspar Asset Management SA
F:6QA
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Caspar Asset Management SA
F:6QA
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PL |
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Q
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Quebec Nickel Corp
F:7IB
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CA |
Bankruptcy Probability
Caspar Asset Management SA's probability of bankruptcy is 1%, making a collapse highly unlikely. The solvency score is 75/100 — a strong indicator of financial stability.
We take all the information about a company's solvency, such as how easily it can pay interest on outstanding debt, how much cash it has, the amount of debt, and more, and use it to estimate the probability of bankruptcy.
Solvency Ratios
Solvency Ratios Comparison
Caspar Asset Management SA Competitors
| Country | Company | Market Cap | D/E | D/A |
Interest Coverage |
Altman Z-Score |
Quick Ratio |
Current Ratio |
Cash Ratio |
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|---|---|---|---|---|---|---|---|---|---|---|---|
| PL |
C
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Caspar Asset Management SA
WSE:CSR
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75m PLN |
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| US |
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BlackRock Inc
NYSE:BLK
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181B USD |
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| US |
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Blackstone Inc
NYSE:BX
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171.9B USD |
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| US |
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KKR & Co Inc
NYSE:KKR
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98.1B USD |
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| US |
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Bank of New York Mellon Corp
NYSE:BK
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98.1B USD |
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| CA |
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Brookfield Corp
NYSE:BN
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92.5B USD |
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| CA |
B
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BROOKFIELD ASSET MANAGEMENT LTD
TSX:BAM
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118.2B CAD |
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| CA |
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Brookfield Asset Management Inc
NYSE:BAM
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85.3B USD |
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| US |
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BROOKFIELD ASSET MANAGEMENT LTD
F:RW5
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71.6B EUR |
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| ZA |
N
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Ninety One Ltd
JSE:NY1
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77.2B ZAR |
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| US |
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State Street Corp
NYSE:STT
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53.1B USD |
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Caspar Asset Management SA's probability of bankruptcy is 1%, making a collapse highly unlikely.
The probability of bankruptcy is estimated using credit risk models that assess financial health, debt levels, interest coverage, and other solvency indicators.
As of the latest report, Caspar Asset Management SA has total debt of 5.4m PLN. This includes both short-term (0 PLN) and long-term (5.4m PLN) debt.
You can find a full breakdown on its Balance Sheet.