VIVO Stock Snapshot Price, market cap, P/E, EPS, ROE, debt/equity, 52-week range

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Price $3.36
EPS $-1.92
Revenue $61.0K
ROE 125.2%
52W Range $2–$7

VIVO Stock Price Chart Daily OHLCV with technical indicators — pan, zoom, and customize your view

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Stock splits 1
Ex-date Split Type
Oct. 6, 2023 1-for-10 Reverse

10-Year Performance Revenue, net income, margins and EPS trends

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Revenue$61.0K
2017-03-31 → 2025-06-30
EPS$-1.92
2017-03-31 → 2025-06-30
Free Cash Flow$-7M
2018-03-31 → 2025-06-30
Net margin-20970.5%
2018-03-31 → 2025-06-30
Valuation & Ratios 07–12

Valuation P/E, P/S, P/B, EV/EBITDA ratios — is the stock expensive or cheap?

No data for this ratio group yet

Not enough fundamentals data to compute this ratio group yet.

value · ≈ 5Y avg · industry median · verdict relative to median

Earnings History EPS actual vs estimate, surprise %, beat rate, next earnings date

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Next Report Oct 28, 2026

Full Fundamentals All metrics by year — income statement, balance sheet, cash flow

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Income Statement 13
Metric Trend 202520242023202220212020201920182017
Revenue $61.0K$16.0K$4M$10M$24M$33M·$34M$32M
Cost of Revenue $50.0K$-27.0K$4M$9M$20M$28M$37M$29M$5M
Gross Profit $11.0K$43.0K$-4M$-1M$4M$5M$6M$5M$27M
Operating Income $-9M$-9M$-12M$-15M$-5M$2M$-5M$-8M$17M
Interest Expense $7M$6M$7M$8M$2M$3M$3M$3M$600.0K
Interest Income $4M$1M$1M$173.0K$2M$27.0K·$9.0K$13.0K
Pretax Income $-15M$-44M$-20M$-24M$-8M$-4M$-11M$-34M$11M
Income Tax $-691.0K$2M$559.0K$-1M$-138.0K$742.0K$353.0K$-6M$5M
Net Income $-13M$-47M$-24M$-22M$-8M$-5M$-11M$-28M$6M
EPS (Basic) $-1.92$-15.17$-9.87$-10.64$-0.49$-0.38·$-2.06$0.73
EPS (Diluted) $-1.92$-15.17$-9.87$-10.64$-0.49$-0.38·$-2.06$0.73
Shares (Basic) 6,655,0003,079,0002,467,0002,074,00016,306,00013,557,000·13,557,0007,624,000
EBITDA $-9M$-9M$-10M$-12M$-3M$4M·$-6M·
Balance Sheet 13
Metric Trend 202520242023202220212020201920182017
Cash & Equivalents $60M$199.0K$553.0K$1M$9M$3M$7M$2M$11M
Receivables $73M$10M$7M$9M$13M$13M$15M$8M$20M
Inventory $1M$2M$2M$2M$2M$0$0··
Current Assets $75M$18M$10M$22M$24M$20M$36M$21M$31M
PP&E (Net) $1M$439.0K$4M$4M$3M$2M$3M$2M$2M
Goodwill $2M$2M$18M$18M$26M$22M$22M$24M$30M
Intangibles $17M$15M$42M$40M$21M$8M$9M$12M$16M
Total Assets $97M$37M$61M$70M$77M$62M$73M$76M$101M
Accounts Payable $40M$38M$15M$15M$9M$15M$25M$14M$8M
Current Liabilities $55M$54M$19M$23M$13M$20M$29M$21M$12M
Total Liabilities $77M$78M$58M$48M$36M$44M$51M$39M$36M
Retained Earnings $-156M$-143M$-96M$-72M$-50M$-41M$-36M$-23M$5M
Stockholders' Equity $20M$-41M$4M$22M$40M$18M$23M$37M$65M
Cash Flow 8
Metric Trend 202520242023202220212020201920182017
D&A ··$2M$1M$1M$947.0K·$1M$651.0K
Other Non-cash ··$14M$15M$-10M$-1M·$36M·
Operating Cash Flow $-6M$1M$-5M$-5M$-15M$-5M$1M$9M$6M
CapEx $985.0K$609.0K$1M$1M$937.0K$884.0K$358.0K$1M$94.0K
Investing Cash Flow $-3M$-5M$-2M$-5M$-3M$294.0K$11M$-17M$-27M
Financing Cash Flow $9M$3M$7M$4M$24M$22.0K$-7M$-1M$31M
Free Cash Flow $-7M$884.0K$-10M$-6M$-16M$-5M·$8M·
Levered FCF $-13M$-5M$-17M$-14M$-19M$-9M·$5M·
Profitability 8
Metric Trend 202520242023202220212020201920182017
Gross Margin 18.0%268.8%-15.0%1.1%15.7%16.1%·15.2%·
Operating Margin -14300.0%-53243.8%-75.1%-62.5%-11.8%4.5%·-22.6%·
Net Margin -20970.5%-291875.0%-161.7%-96.1%-18.7%-10.5%·-82.9%·
Pretax Margin -24804.9%-276350.0%-130.2%-102.1%-20.0%-9.0%·-101.5%·
EBITDA Margin -14300.0%-53243.8%-64.6%-55.3%-6.2%8.1%·-18.8%·
ROA -19.0%-94.5%-37.2%-29.5%-10.9%-7.5%·-31.5%·
ROE 125.2%253.9%-192.1%-69.2%-26.1%-25.4%·-54.9%·
ROIC -41.4%21.8%-310.3%-58.4%-11.7%14.2%·-16.8%·
Liquidity & Solvency 3
Metric Trend 202520242023202220212020201920182017
Current Ratio 1.30.30.50.91.81.0·1.0·
Quick Ratio 2.40.20.40.41.60.8·0.5·
Interest Coverage -1.2-1.4-1.5-1.6-1.80.7·-2.2·
Efficiency 3
Metric Trend 202520242023202220212020201920182017
Asset Turnover 0.00.00.20.30.60.7·0.4·
Inventory Turnover 0.0-0.06.711.944.4····
Receivables Turnover 0.00.01.92.13.23.5·2.4·
Per Share 1
Metric Trend 202520242023202220212020201920182017
EPS (TTM) $-1.92$-15.17$-9.87$-10.64$-0.49$-0.38·$-2.06·
Valuation (TTM) 2
Metric Trend 202520242023202220212020201920182017
Revenue TTM $61.0K$16.0K$4M$10M$24M$33M·$34M·
Net Income TTM $-13M$-47M$-24M$-22M$-8M$-5M·$-28M·

Most recent period on the left · null values shown as ·

Financial Statements Income statement, balance sheet, cash flow — annual, last 5 years

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Metric 2025-06-302024-06-302023-06-302022-06-302021-06-30
Revenue $61.0K $16.0K $4M $10M $24M
Gross Margin % 18.0% 268.8% -15.0% 1.1% 15.7%
Operating Margin % -14300.0% -53243.8% -75.1% -62.5% -11.8%
Net Income $-13M $-47M $-24M $-22M $-8M
Diluted EPS $-1.92 $-15.17 $-9.87 $-10.64 $-0.49

Institutional owners (13F) 1 filer · $34 total · As of June 30, 2026

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Institutions that report holding this stock in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Holders 1
Value held $34
New positions 0
Exited positions 0
Institutional activity — Q2 2026 vs prior quarter
New positions Exited positions Increased Decreased Net shares change
0 (0 vs prior Q) 0 (0 vs prior Q) 0 (0 vs prior Q) 0 (0 vs prior Q) 0

Compared to Q1 2026. SEC Form 13F filings are due within 45 days of quarter-end plus a short buffer for late filers — quarters still inside that window are skipped in favor of the most recent fully-reported pair.

Institution Value Shares % of tracked 13F Type
HUNTINGTON NATIONAL BANK $34 1 100.00% Shares

Activists & 5%+ owners 2 positions

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Investors who filed SEC Schedule 13D — beneficial ownership above 5% with an intent to influence the issuer (activist stakes, board campaigns, M&A). Each row shows the most recent known state of that filer's position.

Filer Filed Stake Status Purpose Filing
Arowana International Limited, Arowana Australasian Special Situations Fund 1 Pty Limited, Arowana Australasian VCMP 2, LP, Arowana Australasian Special Situations Partnership 1, LP, Arowana Energy Holdings Pty Ltd. Jan. 31, 2017 · Initial filing Passive investment SEC
Kevin Chin, The Panaga Group Trust, Panaga Group Pty Ltd. Jan. 9, 2017 · Initial filing Passive investment SEC

Purpose is an automated classification of the filer's own stated purpose (SEC Item 4) — not investment advice. "—" means no clear purpose was stated or the text could not be classified.

Company insiders 1 insider · 1 officers · 0 directors

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Insider Role Last activity Shares owned Buys 12m Sells 12m Net 12m
Kevin Chin CEO April 12, 2024 J 407,063 0 0 $0

Insiders from SEC Form 3/4/5 filings; net = open-market P/S only

VIVO Analyst Consensus Bullish and bearish analyst opinions, 12-month price target, upside

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rating · 7 analysts BUY
Median target $10.00 +197.6%
2 28.6% Strong Buy
4 57.1% Buy
1 14.3% Hold
0 0.0% Sell
0 0.0% Strong Sell

12-Month Price Target

1 analysts · 2026-10-04

Mean target $10.00 +197.6%

Low$10.00 Mean$10.00 High$10.00

Peer comparison (GICS sub-industry) Key metrics vs sector peers

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FY basis, prices as of each company's last fiscal year-end close.

Ticker Market Cap P/E Rev YoY Net Margin ROE Gross Margin
VIVO · · · -20970.5% 125.2% 18.0%
RNW · 0.2 · 7.4% 8.2% ·

Latest News Recent headlines mentioning this company

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Source: SEC 20-F/A filed Nov 6, 2025