As of June 22, 2025, Conafi SpA (CNF.MI) reports a Current Ratio of 4.84.
Current Ratio assesses a company's ability to pay short-term debts by comparing liquid assets to liabilities, with higher ratios signaling better financial health.
Historical Trend of Conafi SpA's Current Ratio
Over recent years, Conafi SpA's Current Ratio has shown significant volatility. The table below summarizes the historical values:
Date | Current Ratio |
---|---|
2023-12-31 | 4.84 |
2022-12-31 | 6.00 |
2021-12-31 | 3.57 |
2020-12-31 | 2.87 |
2019-12-31 | 6.23 |
This slight upward trend highlights how Conafi SpA manages its short-term assets and liabilities over time.
Comparing Conafi SpA's Current Ratio to Peers
To better understand Conafi SpA's position, it's useful to compare its Current Ratio against industry peers. Below are selected comparisons:
Company | Current Ratio |
---|---|
Conafi SpA (CNF.MI) | 4.84 |
Fon SE (FON.WA) | 180.67 |
Thinksmart Ltd (TSL.L) | 29.31 |
S&U PLC (SUS.L) | 27.02 |
Wierzyciel SA (WRL.WA) | 25.92 |
Midpoint Holdings Ltd (MPT.V) | 19.42 |
Compared to its competitors, Conafi SpA's Current Ratio is about average compared to peers, reflecting balanced short-term asset management.