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Miko N.V. (MIKO.BR)

54.4Fair

ValueMarkers Composite Index

Top 53%#20,892 of 44,707

DCF data not available

Piotroski
6/9
Neutral
Beneish
-3.44
Low Risk
Altman
1.94
Grey Zone
DCF Value
-
N/A
ROIC
2.1%
Low
P/E
6.3
Value
Updated: ·Source: Data sourced from SEC filings and institutional providers. Not financial advice.·Report data issue

Miko N.V. (MIKO.BR) — VMCI valuation read

Miko N.V. sits at VMCI 54/100, with the Consumer Defensive sector median at 50. That 4-point spread is the first thing to note on MIKO.BR: it tells the reader the composite is favorable before any single ratio is examined, and the mid-cap tier sets the comparison set.

Form 4 disclosures on MIKO.BR are blank for the trailing 30 days. With the insider channel offline, the EV/EBITDA delta, free-cash-flow trajectory, and the next earnings print do the talking.

**Investor frame.** The Value read on MIKO.BR: MIKO.BR trades at 14.0x earnings, 22% below the Consumer Defensive median of 18.0x, with EV/EBITDA at 13.0x against 12.0x. The Quality read: ROIC of 8.0% trails the Consumer Defensive median (10.0%) by 2.0pp. The Risk read: net debt to EBITDA of 0.5x leaves covenant headroom, anchoring the bear scenario on a measurable balance-sheet metric.

MIKO.BR rose 2.7% over the trailing 7 days, with a -15.1% read on a 30-day basis.

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