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N

Nano-X Imaging Ltd. (NNOX)

NGM – Real Time Price. Currency in USD

2.21

-0.06 (-2.64%)

At close: Mar 27, 2026, 4:00 PM EDT

2.25

+0.04 (1.80%)

After-hours: Mar 27, 2026, 6:40 PM EDT

  • Summary
  • News
  • Chart
  • Financial
  • Dividends
  • Forecast
  • Ownership
  • Profile

Stock details

Previous close
2.21$
Day's range
2.16 - 2.28$
52-week range
2.11 - 5.86$
Volume
966 144
Average volume
695 209
Beta
1.05
EPS (TTM)
-0.88
PE ratio (TTM)
N/A
Market cap
140 914 025
Shares outstanding
63 762 002
Dividend yield
N/A
Next earnings date
2026-04-06
Sector
Healthcare
Industry
Medical Devices

About the company

Nano-X Imaging Ltd. develops a commercial-grade tomographic imaging device with a digital X-ray source. It provides teleradiology services and develops artificial intelligence applications to be used in real-world medical imaging applications. The company’s solutions include Nanox Multi Source System comprising Nanox.ARC, a medical tomographic imaging system incorporating its digital X-ray source; and Nanox. CLOUD, a platfo... read more
CEO
Erez Meltzer
Country
Israel
IPO Date
2020-08-21
Employees
165
Fiscal Year End
January - December
Website
https://www.nanox.vision

Revenue Breakdown

No Data

Revenue breakdown data has not been calculated yet.

News

No Data

There are no news for this stock.

Chart: NNOX

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Overall Score

3.6 / 1036%
Financial Strength
7.8
Profitability
1
Effectiveness
1
Growth
4.4
Forecast
9.1
Valuation
3.5

Financial Strength

NAMERATIOINDUSTRY5Y TRENDSCORE
Current ratio4.143.4010
Quick ratio3.932.5210
Debt to Equity0.051.119.0
Debt to Assets0.041.589.0
Interest coverageN/A4.331.0
Weighted average score7.8

Debt to Assets

Financial

Values in USD
(B=Billions, M=Millions, K=Thousands)
Values in USD (B=Billions, M=Millions, K=Thousands)
METRIC2021202220232024TTM
Total Revenue1M9M10M11M12M
Gross Profit-2M-7M-7M-11M-12M
Operating Income-60M-71M-59M-57M-58M
Net Income-62M-113M-61M-54M-56M
EBITDA-58M-60M-47M-45M-46M

Current Ratio

Revenue & Net Income

Cashflow

Margin Ratios

Profitability

NAMERATIOINDUSTRY5Y TRENDSCORE
Gross margin %-86.4256.14
1.0
Operating margin %-412.88-0.60
1.0
Net margin %-396.98-70.45
1.0
EBITDA margin %-327.07-53.99
1.0
Cash flow margin %-349.43-20.44
1.0
Weighted average score1.0

Net Margin

Effectiveness

NAMERATIOINDUSTRY5Y TRENDSCORE
ROA-28.07-27.02
1.0
ROE-31.39-50.60
1.0
ROIC-30.73-19.95
1.0
ROCE-8.11-16.09
1.0
Weighted average score1.0

Estimated EPS vs Actual EPS

Forecast

NAMEREVENUE GROWTHEPS GROWTHSCORE
Current quarter33.1316.39.5
Next quarter106.8631.3310
Current year17.837.427.0
Next year137.739.7610
Weighted average score9.1

Analyst Rating

Growth

NAMEREVENUENET INCOMEEPSFCFSCORE
Q/Q13.397.058.7-33.275.0
Y/Y13.72-0.328.7-56.344.0
3y average195.73-8.310.8313.495.3
5y average517.04-32.02-33.8-111.883.3
Weighted average score4.4

Revenue Growth Rate vs. Industry

Valuation

NAMERATIOINDUSTRY5Q TRENDSCORE
P/EN/A14.30
1.0
PEG (5yr expected)N/A2.36
1.0
P/S12.359.12
3.6
P/B1.0715.43
8.2
Weighted average score3.5

DCF Model

DCF Model PeriodN/A
Discount rateN/A
Perpetual growth rateN/A
Revenue 5 year CAGRN/A
FCF 5 year CAGRN/A
Fair value$
Stock price2.21$

Dividend

NAMECURRENTINDUSTRYSCORE
Dividend yield0.00N/A1.0
Payout ratio0.00N/A1.0
5-year dividend growth rateN/AN/A1.0
Years of dividend increaseN/AN/A1.0
Weighted average score1.0

Fair Value

Fair Value

$1

UndervaluedStock priceOvervalued

$2.21

Economic Moat

NAMESCALESCORE
Market shareNone1.0
Intangible assetsNone1.0
Switching costsNone1.0
Network effectNone1.0
Economies of scaleNone1.0
Weighted average score1.0
Dividend
1
Economic Moat
1

Octagon View

Strength & Weakness

Company's cash reserves $45.2M significantly exceed its total debt $7.9M, ensuring strong financial flexibility

Total current assets $51.3M exceed Total current liabilities $12.4M, highlighting excellent liquidity

Debt-to-equity ratio (0.1) is well below the industry average (1.1), showcasing prudent financial management

Interest expense exists but EBIT data is unavailable, indicating potential profitability concerns

Negative free cash flow -$13.9M limits the company's ability to reinvest or pay down debt