SSM — Sono Group NV
NASDAQ · Auto Components · Auto Components
- Latest Close
- $6.54
- 30-Day Move
- -3.3%
- Market Cap
- $9M
- Shares Outstanding
- 1,420,000
- P/E Ratio
- 1.18
- ROE
- -76.6%
Analyst consensus: Buy · 5 analysts
Sono Group NV
A read-only Alphactor snapshot forSono Group NV. It uses the same research structure as the app, but with delayed data and shallow depth so search visitors can evaluate the stock before signing up.
Snapshot as of2026-04-20
Topline snapshot
Latest Close
$6.54
30-Day Move
-3.3%
Market Cap
$9M
Shares Outstanding
1,420,000
P/E Ratio
1.18
ROE
-76.6%
$6.54
-3.3%last 90 delayed daily bars
90D High
$8.31
90D Low
$5.80
Avg Volume
3,428
Gross margin is running at 43.0%, which gives a quick read on operating quality before you open the full model.
Net margin is 6634.0%, useful for comparing SSM against peers in Auto Components.
SSM is down 3.3% over the last 30 trading days shown on this page.
Latest operating income is $-3M, which helps anchor the headline ratios with an actual earnings figure.
Composite Fair Value
$0.27
Rule of 40
-36424.5%
Dark Pool Short %
27.2%
Latest Close
$6.54
30-Day Move
-3.3%
Market Cap
$9M
Shares Outstanding
1,420,000
P/E Ratio
1.18
ROE
-76.6%
ROA
2131.3%
Gross Margin
43.0%
Operating Margin
-5149.0%
Net Margin
6634.0%
Debt / Equity
0.08
Current Ratio
0.09
Latest Revenue
$48,000
Revenue
$48,000
Gross Profit
$13,000
Operating Income
$-3M
Net Income
$-3M
Gross Margin
4300.0%
Net Margin
663400.0%
Current Ratio
0.09
Debt / Equity
0.08
Fair Value
$0.27
Upside / Downside
-95.9%
Signal
Overvalued
Implied Growth
--
EV/Rev
$0.27
Growth Assumption
-10.0%
Discount Rate
10.5%
Terminal Growth
2.0%
Base FCF
--
Valuation spread
After signup
The full valuation workspace goes deeper
Adjust DCF growth, discount, and terminal assumptions instead of relying on one static snapshot.
Open the deeper balance-sheet and cash-flow views to inspect debt, liquidity, and cash generation line by line.
Compare multiple valuation models against peers and save your own thesis instead of re-reading a fixed public state.
Negative FCF — company is cash-flow negative. Reverse DCF requires positive cash flows.
Altman Z
-326.48
Distress
Piotroski
4
Moderate (4-6)
Cash Conversion
-1.81x
Rule of 40
-36424.5%
Concerning
Annual performance mix
| Period | Revenue | Operating Income | Net Income | Free Cash Flow |
|---|---|---|---|---|
| 2022-12-31 | $229,000 | $-182M | $-184M | $-187M |
| 2023-12-31 | $42,000 | $-30M | $-46M | $-15M |
| 2024-12-31 | $0 | $-6M | $65M | $-14M |
| 2025-12-31 | $149,000 | $-8M | $4M | $-7M |
After signup
The app opens the full statement deep dive
Extend the history well beyond this public snapshot to inspect longer cycles and regime changes.
Move from summary lines into detailed balance-sheet and cash-flow rows for working capital, debt, and capex analysis.
Cross-link statement changes with alerts, watchlists, and saved research workflows after signup.
After signup
The full sentiment workspace adds context
Go past the public headlines into fuller article history, source cross-checks, and deeper narrative tracking.
Tie news into alerts, watchlists, and conviction changes instead of browsing one static batch of stories.
4
Consensus
Buy—
—
—
5
For informational and educational purposes only. Not financial advice. Learn more
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