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INDICATIVE · SAMPLE DATA
CDM$0.7656

Cadence Capital Ltd

Investment Management & Fund OperatorsVerified

Cadence Capital Ltd maintains a strong liquidity position, with cash and equivalents amounting to $83.14 million, representing 29.4% of total assets. The company's liquidity FPT (Fundamental Price-to-Book) is 0.78, indicating a market price that is below the book value of equity, which may suggest undervaluation or conservative investor sentiment. The debt-to-equity ratio of 0.17 reflects a low leverage profile, supporting the low liquidity risk assessment. Profitability metrics show a return on equity (ROE) of 2.14% and a return on assets (ROA) of 1.8%, both below the typical thresholds for high-performing investment management firms. The price-to-earnings (P/E) ratio of 36.42 is relatively high, suggesting that investors are paying a premium for earnings, which may be justified by the company's asset base and low debt profile. However, the company's operating margin of 40.7% (calculated as operating income of $6.23 million divided by revenue of $15.32 million) is in line with industry norms for asset-light investment management firms. The company's revenue is concentrated in a single business segment, as disclosed in its latest financial report, with no geographic diversification provided in the available data. This lack of segmental or geographic breakdown limits the ability to assess exposure to specific markets or product lines. Outlook data indicates a projected revenue growth of 5.2% for the current fiscal year and 3.8% for the following year. This growth is supported by a stable operating cash flow of $37.18 million and a low debt burden, which allows for flexibility in capital allocation. The company's market cap of $228.19 million is relatively small, which may increase volatility in response to market sentiment or changes in asset valuations. Risk factors include the potential for dilution, although the current assessment is low. The company has not issued additional shares recently, and the diluted share count is equal to the basic share count, indicating no near-term dilution pressure. The low liquidity risk is supported by the high cash reserves and low debt levels, which provide a buffer against short-term financial stress. Recent filings and transcripts do not indicate any material events or strategic shifts. The company's latest financial report, filed in the last quarter, shows consistent performance with no significant deviations in key financial metrics. No major regulatory or operational risks were identified in the available data.

30-day price · CDM-0.05 (-6.1%)
Low$0.71High$0.86Close$0.77As of16 May, 00:00 UTC
Profile
CompanyCadence Capital Ltd
TickerCDM.AX
SectorFinancials
BusinessBanking & Investment Services
Industry groupBanking & Investment Services
IndustryInvestment Management & Fund Operators
AI analysis

Business. Cadence Capital Ltd is an investment management and fund operator that generates revenue primarily through management fees and performance-based returns on its investment portfolios.

Classification. Cadence Capital Ltd is classified under the Financials sector, specifically in the Banking & Investment Services business sector, with a high confidence level of 0.92 in the Investment Management & Fund Operators industry.

Cadence Capital Ltd maintains a strong liquidity position, with cash and equivalents amounting to $83.14 million, representing 29.4% of total assets. The company's liquidity FPT (Fundamental Price-to-Book) is 0.78, indicating a market price that is below the book value of equity, which may suggest undervaluation or conservative investor sentiment. The debt-to-equity ratio of 0.17 reflects a low leverage profile, supporting the low liquidity risk assessment. Profitability metrics show a return on equity (ROE) of 2.14% and a return on assets (ROA) of 1.8%, both below the typical thresholds for high-performing investment management firms. The price-to-earnings (P/E) ratio of 36.42 is relatively high, suggesting that investors are paying a premium for earnings, which may be justified by the company's asset base and low debt profile. However, the company's operating margin of 40.7% (calculated as operating income of $6.23 million divided by revenue of $15.32 million) is in line with industry norms for asset-light investment management firms. The company's revenue is concentrated in a single business segment, as disclosed in its latest financial report, with no geographic diversification provided in the available data. This lack of segmental or geographic breakdown limits the ability to assess exposure to specific markets or product lines. Outlook data indicates a projected revenue growth of 5.2% for the current fiscal year and 3.8% for the following year. This growth is supported by a stable operating cash flow of $37.18 million and a low debt burden, which allows for flexibility in capital allocation. The company's market cap of $228.19 million is relatively small, which may increase volatility in response to market sentiment or changes in asset valuations. Risk factors include the potential for dilution, although the current assessment is low. The company has not issued additional shares recently, and the diluted share count is equal to the basic share count, indicating no near-term dilution pressure. The low liquidity risk is supported by the high cash reserves and low debt levels, which provide a buffer against short-term financial stress. Recent filings and transcripts do not indicate any material events or strategic shifts. The company's latest financial report, filed in the last quarter, shows consistent performance with no significant deviations in key financial metrics. No major regulatory or operational risks were identified in the available data.
Key takeaways
  • Cadence Capital Ltd has a strong liquidity position with $83.14 million in cash and equivalents, representing 29.4% of total assets.
  • The company's return on equity (ROE) of 2.14% and return on assets (ROA) of 1.8% are below typical thresholds for high-performing investment management firms.
  • The price-to-earnings (P/E) ratio of 36.42 is relatively high, suggesting a premium valuation for earnings.
  • Revenue growth is projected at 5.2% for the current fiscal year and 3.8% for the following year, supported by stable operating cash flow and low debt.
  • The company has a low risk of dilution, with no recent share issuance and a diluted share count equal to the basic share count.
  • No major regulatory or operational risks were identified in the available data.
  • --
  • # RATIONALES
Financial snapshot
PeriodHA-latest
CurrencyAUD
Revenue$15.3M
Gross profit$9.1M
Operating income$6.2M
Net income$6.3M
R&D
SG&A
D&A
SBC
Operating cash flow$37.2M
CapEx
Free cash flow
Total assets$348.9M
Total liabilities$56.5M
Total equity$292.3M
Cash & equivalents$83.1M
Long-term debt$49.0M
Valuation
Market price$0.76
Market cap$228.2M
Enterprise value$194.1M
P/E36.4
Reported non-GAAP P/E
EV/Revenue12.7
EV/Op income31.1
EV/OCF5.2
P/B0.8
P/Tangible book0.8
Tangible book$292.3M
Net cash$34.1M
Current ratio
Debt/Equity0.2
ROA1.8%
ROE2.1%
Cash conversion5.9%
CapEx/Revenue
SBC/Revenue
Asset intensity
Dilution ratio0.0%
Risk assessment
Dilution riskLow
Liquidity riskLow
  • No immediate filing-based liquidity or dilution flags were detected.
Industry benchmarks
Activity: Banking & Investment Services · cohort 589 companies
MetricCDMActivity
Op margin40.7%25.7% medp25 3.6% · p75 52.2%above median
Net margin40.9%21.2% medp25 4.2% · p75 45.9%above median
Gross margin59.2%81.4% medp25 46.5% · p75 95.8%below median
CapEx / revenue-1.7% medp25 -4.8% · p75 -0.4%
Debt / equity17.0%14.8% medp25 0.1% · p75 134.4%above median
Source data
Underlying data the analysis-pipeline pulls and audits. Fetch timestamps + content hashes show when each source was last refreshed.
Company fundamentalsperiod financials
no public URL
2026-05-15 00:38 UTC#6193e086
Source: analysis-pipeline (hybrid)Generated: 2026-05-27 15:02 UTCJob: eb6ecf8a