How much should you hold?
- Overall Portfolio exposure to Michman Finance Ltd. should be less than 10%
- Overall Portfolio exposure to Finance should be less than 30%
(If sector exposure > 30%, please use optimiser tool to see which are the best stocks to hold in Finance)
When to exit? - We will constantly monitor the company and suggest at the appropriate time to exit from the stock
Is Michman Finance Ltd. for you?
Medium Risk, High Return
Absolute
Risk Adjusted
Volatility
Michman Finance Ltd.
-100.0%
3.31
34.64%
Israel TA-100
49.53%
2.91
16.81%
Quality key factors
Factor
Value
Sales Growth (5y)
10.60%
EBIT Growth (5y)
97.37%
EBIT to Interest (avg)
33.19
Debt to EBITDA (avg)
Negative Net Debt
Net Debt to Equity (avg)
0
Sales to Capital Employed (avg)
0
Tax Ratio
26.88%
Dividend Payout Ratio
0
Pledged Shares
0
Institutional Holding
0
ROCE (avg)
50.45%
ROE (avg)
25.24%
Valuation Key Factors 
Factor
Value
P/E Ratio
15
Industry P/E
Price to Book Value
2.65
EV to EBIT
5.92
EV to EBITDA
5.83
EV to Capital Employed
3.23
EV to Sales
4.23
PEG Ratio
NA
Dividend Yield
NA
ROCE (Latest)
54.64%
ROE (Latest)
17.20%
Technical key factors
Indicator
Weekly
Monthly
MACD
Mildly Bearish
Bullish
RSI
No Signal
No Signal
Bollinger Bands
Mildly Bullish
Mildly Bullish
Moving Averages
Mildly Bullish (Daily)
KST
Bullish
Bullish
Dow Theory
Mildly Bearish
Mildly Bullish
OBV
Bearish
Bearish






