Weekly company factor report
BZT
Bezant Resources Plc
Current comparison
Latest company comparison
The scores rank this company against other measured companies in the selected market. Open each section to check the figures behind them.
Current factor profile
The valuation is low, but financial strength is weak. Check the F-Score, cash conversion and debt before relying on the valuation. The completed price record supports the value measures. Measured price variability is high and should be considered separately from the return figures.
Reported earnings have weaker cash support
Return on equity is 24%, but an accruals ratio of 0.287 suggests that reported earnings have less cash support.
Four main ranks
Company profile
Completed weekly snapshots
How the ranks have changed
Ready-made approaches
Which screens include this company
Passing a screen means the latest completed snapshot meets that screen’s published rules. It is not a recommendation.
Continue the research
Check the supporting evidence
Open the price record, technical position, market group or other company research that is available for BZT.
Price against company results
Value
A higher value rank means the shares are cheaper on the combined definitions relative to this market. Negative earnings or cash flow need separate attention.
Current reading
The P/E ratio is 0.1 times earnings, which is low on the page’s valuation scale. Free-cash-flow yield is negative at -379.1%.
Value measures compared
Raw multiples and yields
P/E history
P/E is shown only when trailing earnings are positive.
Research path
How to test this valuation
A low valuation is a starting point. These checks show whether the earnings base, cash flow and completed price record support it.
Profitability, cash and balance sheet
Financial strength
The rank combines several company measures. The chart and figures below keep profitability, leverage and cash conversion visible separately.
Current reading
Return on equity is 24%. Accruals ratio of 0.287 is elevated — earnings quality may be lower than headline numbers suggest.
Financial measures compared
Profitability and leverage
Completed returns and variability
Price performance and risk
Returns show direction; volatility and drawdown show how uneven the path has been. Both are based on completed prices.
Current reading
The 12-month return excluding the latest month is 267%. Risk-adjusted price performance is 2.51, showing a high return relative to measured volatility. Near-term vol (198%) is expanding vs long-term (106%) — risk is increasing.
Returns over several periods
Recent and one-year volatility
How long the current readings have persisted
| Measure | Current | Current run | Direction |
|---|---|---|---|
| OS Composite | 0.810 | Unchanged for 6 snapshots | improving |
| Value %ile | 0.690 | Unchanged for 0 snapshots | improving |
| Quality %ile | 0.710 | Unchanged for 4 snapshots | improving |
| Momentum %ile | 0.710 | Unchanged for 5 snapshots | improving |
| F-Score | 3.000 | Unchanged for 10 snapshots | improving |
| Confidence | 0.482 | Unchanged for 0 snapshots | improving |
| Volatility | 1.061 | Unchanged for 10 snapshots | deteriorating |
Like-for-like context
Sector comparison
The company is compared with measured companies in Basic Materials for the same completed factor week.
Company against sector
Valuation distance from sector
| Company | Combined | Value | Financial strength | Price performance |
|---|---|---|---|---|
| EDV Endeavour Mining plc | 99.0 | 93.0 | 99.0 | 96.0 |
| SRB Serabi Gold plc | 99.0 | 98.0 | 98.0 | 94.0 |
| VALT Valterra Platinum Limited | 99.0 | 99.0 | 88.0 | 95.0 |
| ALTN AltynGold plc | 99.0 | 97.0 | 96.0 | 94.0 |
| CRPR James Cropper PLC | 98.0 | 93.0 | 90.0 | 97.0 |
| ATYM Atalaya Mining Copper, S.A. | 97.0 | 84.0 | 95.0 | 97.0 |
| HOC Hochschild Mining plc | 97.0 | 87.0 | 97.0 | 95.0 |
| FRES Fresnillo plc | 96.0 | 80.0 | 99.0 | 95.0 |
Reported company accounts
Company figures
Quarterly and annual figures are kept separate. The dates below show the latest accepted reporting periods.
Annual figures
Revenue
Net income
Free cash flow
Net margin
Operating income
Operating cash flow
Capital expenditure
Equity and liabilities
Definitions and source checks
Measures and data
Each figure is shown with its plain definition. Percentile ranks compare the company with the selected market for the same completed week.
Value measures · Price compared with earnings, sales, assets and cash flow
Financial strength · Profitability, cash conversion and balance-sheet measures
Price performance · Completed price returns over several periods
Growth and stability · Revenue, earnings history and capital returned to shareholders
Combined value measures · Several valuation measures ranked together; 1 is cheapest
Capital use and company classification · Funding, distributions and company-size classifications
Company research path · week ending 9 Aug 2026
The evidence is limited by the current risk reading
The main evidence passes, but the setup or risk reading still needs attention.
The path reads company results, valuation, completed price evidence and risk in that order. A later strength does not cancel an earlier weakness.
- ✓ Data readyPassed · 100/100 Published factors, company figures and completed prices are available.
- ✓ Company recordPassed · 67/100 Checks profitability, cash support, balance-sheet measures and their direction.
- ✓ Relative valuePassed · 69/100 Checks whether the current valuation compares well with the selected market.
- ✓ Market supportPassed · 86/100 Checks completed price performance, relative strength, trend and buying pressure.
- 5 Setup and riskNeeds more evidence · 67/100 Checks whether the price structure is usable without ignoring volatility or drawdown.
- 6 Full reviewNot reached Open the supporting company, market and risk research before making a decision.
Evidence used now
What moves the research path
Each block opens the report section containing the figures behind the score.
- Financial-strength rank 71/100
- F-Score 3/9
- 5 usable annual periods
- Value rank 69/100
- P/E 0.1×
- Free-cash-flow yield -379.1%
- Price-performance rank 71/100
- Six-month return +21.1%
- Relative strength +1.8
- Stage 2 · Advancing
- Stage 2 · Advancing
- Price at -23.3% of its 52-week high
- Completed price structure and risk combined
- One-year volatility 106.1%
- Recent volatility 198.1%
- 12-month drawdown -43.3%
Completed factor weeks
How the evidence has moved
All four lines are higher-is-better market ranks on the same 0–100 scale.
What the current evidence supports
- Company record scores 67/100.
- Relative value scores 69/100.
- Market support scores 86/100.
- Setup scores 67/100.
What still needs attention
- Risk check scores 38/100.
Next check
Check the full chart, stage analysis and recent volatility before treating the setup as usable.
This path uses completed records and is recalculated with each published factor week. It is a research sequence, not a trade instruction.
Supporting Sharemaestro research
Continue with the available evidence
Only research pages with data for BZT are shown.