Is it safe?
Can ARRY take a bad year?
The deepest fall in ARRY's price history on file is −92%; it is −61% below its high today.
$466M
Net debt · as at Q1 2026 · debt less the cash on hand
- Altman Z-score
- 1.25
Altman Z-score · distress zone, below 1.8
- Interest cover
- none
Interest cover · no operating profit to pay the interest bill from
- Annualised volatility
- 87%
Annualised volatility · three times the market's own swing
Details›
- Total debtQ1 2026
- $666M
- Cash and short-term investments
- $201M
- Net debt
- $466M
- EBITDA, trailing twelve months
- −$20M
- Operating profit, trailing twelve months
- −$49M
- Annualised volatilitytwo years of daily moves
- 87%
- Worst drawdown on file
- −92%
- Below its 52-week high
- −61%
Balance sheet from SEC filings; drawdown and volatility from end-of-day closes; Altman Z from the filed statements.