Short
Avaya has a shocking amount of debt & short float

Fairly straightforward short here back to the bottom of the wedge/pivot point.
Income -748M
Employees 7900
P/FCF 38.48 (not good)
Debt/EQ 14 (incredibly bad)
Long Term Debt/Eq 13.73 (Very very bad)
EPS this Y -122%
EPS past 5Y -52%
Sales Q/Q +0.6%
Institutions -0.17% (3M)
ROE -105%
ROI -10%
Net Margin -26%
Short Float 19.54%
Income -748M
Employees 7900
P/FCF 38.48 (not good)
Debt/EQ 14 (incredibly bad)
Long Term Debt/Eq 13.73 (Very very bad)
EPS this Y -122%
EPS past 5Y -52%
Sales Q/Q +0.6%
Institutions -0.17% (3M)
ROE -105%
ROI -10%
Net Margin -26%
Short Float 19.54%
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Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.