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Sirius Investors

Market Capitalization & Enterprise Value

Research-grade valuation history for GREN. Track market capitalization versus enterprise value to see the impact of net debt and share changes. Use the interactive chart to explore different horizons; the table updates accordingly to support auditability and export.

Market Cap & Enterprise Value

Comparison of market capitalization and enterprise value over time

Market Cap

Market Capitalization = Stock Price × Number of Shares Outstanding. Represents the total value of a company's equity.
493.89K
-85.64% over period
CAGR: -62.11%
Compound Annual Growth Rate - The mean annual growth rate over time, accounting for compounding effects.

Enterprise Value

Enterprise Value = Market Cap + Total Debt - Cash and Cash Equivalents. Represents the total value of a company including its debt.
782.17K
-79.44% over period
CAGR: -54.66%
Compound Annual Growth Rate - The mean annual growth rate over time, accounting for compounding effects.

Market Cap History

Investor Valuation Insights

As of Jun 30, 2003

EV/EBITDA

Distorted

-35.82x

Negative EV/EBITDA usually means negative EBITDA; compare with revenue and cash flow metrics.

EV vs Market Cap Spread

288.28K

EV is +58.4% vs equity value

Capital Structure Signal

Net Debt Profile

EV premium trend: +47.8 pp vs earliest data

Additional Multiples

EV/Sales: 2.68x

Net Debt/EBITDA: -8.81x

Share count change in dataset: +40.14%

Interpretation guide: EV/EBITDA compares total firm value (debt + equity - cash) to operating earnings. Lower is usually cheaper, but always benchmark against peers, growth rate, margins, and cyclicality.

Market Cap & Enterprise Value Data

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DateMarket CapEnterprise ValueStock PriceShares
Sep 30, 2002493.89K782.17K$0.163.09M
Sep 30, 2001497.97K1.08M$0.202.43M
Sep 30, 20003.44M3.81M$1.562.20M

Enterprise Value Analysis

Price Change (Sep 2001 to Sep 2002)

The stock price has decreased from Sep 2001 to Sep 2002.
-21.95%

Recent Volatility

The stock price has been relatively volatile over the last 3 periods, indicating a higher risk profile.
0.32

Risk-Adjusted Return

The stock's returns do not compensate for its risk level, suggesting a poor risk-reward profile.
-1.68

Market Cap Change (Sep 2001 to Sep 2002)

The company's market capitalization has decreased from Sep 2001 to Sep 2002.
-0.82%

Enterprise Value Change (Sep 2001 to Sep 2002)

The company's enterprise value has decreased from Sep 2001 to Sep 2002, suggesting a decline in the company's total economic value.
-27.42%

Market Cap vs. Enterprise Value

A lower enterprise value growth rate compared to market cap growth could suggest that the company is reducing debt or increasing cash reserves.
Market Cap Growth > EV Growth

Market Cap CAGR

The Compound Annual Growth Rate (CAGR) of market capitalization represents the mean annual growth rate over the entire available history (3 periods), accounting for compounding effects.
-62.11%

Enterprise Value CAGR

The Compound Annual Growth Rate (CAGR) of enterprise value represents the mean annual growth rate over the entire available history (3 periods), accounting for compounding effects.
-54.66%