TOYO Co Ltd risk profile
38 Normal where most of the sector sits
Measured 1 September 2026 from TOYO's filed statements. Recomputed nightly.
38 (Normal), driven by Market expectation at 79, over 3 weighted categories on the MANUFACTURER profile.
What is measured
| Mechanism | Reading | Band | Direction | Driver |
|---|---|---|---|---|
| Market expectation | 79 | Stretched | Volatile | One-year price volatility — 93.9% |
| Operating pressure | Reads cost_of_revenue, operating_expense, operating_income and revenue. No reading is stored for this company. | |||
| Cash conversion | 28 | Normal | Easing | Capital spending against operating cash — 0.69x |
| Leverage and coverage | 21 | Normal | Easing | Current ratio — 0.58x |
| 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.