De Longhi SpA risk profile
28 Normal where most of the sector sits
Measured 16 September 2026 from 0E5M's filed statements. Recomputed nightly.
28 (Normal), driven by Market expectation at 50, over 3 weighted categories on the GENERAL profile.
What is measured
| Mechanism | Reading | Band | Direction | Driver |
|---|---|---|---|---|
| Market expectation | 50 | Elevated | Volatile | One-year price volatility — 134.3% |
| Operating pressure | Reads cost_of_revenue, operating_expense, operating_income and revenue. No reading is stored for this company. | |||
| Cash conversion | 21 | Normal | Easing | Capital spending against operating cash — 0.11x |
| Leverage and coverage | 13 | Contained | Stable | Current ratio — 1.78x |
| Competitive position | Reads research_and_development, operating_income, revenue, peer cohort and disclosed transition KPIs. No reading is stored for this company. | |||
| Concentration | Reads identified supplier spend, customers above the 10% disclosure threshold and revenue by region. No reading is stored for this company. | |||
These are descriptive readings of disclosed mechanisms, not investment advice, and not a prediction. A band says where a measured input sits, never what to do about it or what happens next.