UUnity Software Inc.

$46.89+1.8% 1Y

Is it safe?

Watch

Solid, nothing alarming: clean books, but heavy debt (CCC) and big price swings.

1 good, 2 to watch, 3 neutral
SurvivalGrey zone

Mixed, watch the balance sheet Altman Z-score, a bankruptcy-risk model from five balance-sheet ratios.

Honest booksLow risk

Reported earnings show no manipulation flags Beneish M-score, a forensic model that detects earnings-manipulation patterns (receivables outrunning sales, margins slipping, accrual-heavy profit).

Quality5 / 9

Mixed fundamental signals Piotroski F-score, nine pass/fail tests of year-over-year financial health across profitability, balance sheet and efficiency. 7 to 9 is strong, 0 to 3 weak.

Insider conviction-$4.9M

Insiders were net sellers (-$4.9M, 90 days to Oct 8, 2026), selling is often routine.

Credit gradeCCCderived · Jun 30, 2026

Debt against weak or negative operating profit. A rule of thumb on leverage, not a credit rating.

Drawdown risk74% volderived · Oct 9, 2026

Large price swings, high volatility. Worst drawdown -93% · now 5% below its 52-week high.

Unless marked, from SEC EDGAR, as of Dec 31, 2025.

Against the whole market›

Percentile against every name Ryufin tracks. Higher is better; the tick marks the middle of the market. Context, not one of the checks above.

Volatilitybehind 87% of the market
Max drawdownbottom 8% of the market

Where this answer is blind. Altman sits structurally low for utilities and pipelines; Beneish runs high for fast growers, since sales growth alone lifts it; banks and REITs are excluded.

Can U take a bad year?

The deepest fall in U's price history on file is −93%; it is 5.2% below its high today.

1.36

Altman Z-score · distress below 1.8 · safe above 3 · distress zone, the model puts this in the bankruptcy range

Interest cover
none

Interest cover · no operating profit to pay the interest bill from

Annualised volatility
74%

Annualised volatility · three times the market's own swing

Worst drawdown on file
−93%

Worst drawdown on file · −5.2% today

Details›
Cash and short-term investments
$2.35B
EBITDA, trailing twelve months
−$135M
Operating profit, trailing twelve months
−$616M
Annualised volatilitytwo years of daily moves
74%
Worst drawdown on file
−93%
Below its 52-week high
5.2%

Balance sheet from SEC filings; drawdown and volatility from end-of-day closes; Altman Z from the filed statements.