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PicS N.V.

PICS
58
Software - Infrastructure · Technology
Price
$10.60
+0.55 (+5.47%)
Market Cap
$1.37B
Exchange
NASDAQ
Winston Score
58
Winston is curious
A decent business — some strong pillars, some weaker.
Data as of Aug 23, 2026 · filings through Mar 31, 2026
How the score breaks down
Quality
Good
Growth
Mixed
Cash Flow
Exceptional
Stability
Good
Valuation
Good

Winston Score History

The full picture

I don't have reliable information about a company called "PicS N.V." trading under the ticker PICS in the Software - Infrastructure industry. This could be a relatively obscure, recently listed, or rebranded company that falls outside my confident knowledge base.

Rather than guess and risk providing inaccurate details about products, customers, or operations, I'd recommend:

- **Checking the company's investor relations page** for an official business description - **Reviewing SEC filings (10-K or 20-F)** since N.V.

If you can paste in a brief description of what PicS N.V. actually does, I'm happy to rewrite it into the proper two-paragraph format following all the rules above. I want to make sure the output is accurate, not just plausible-sounding.

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

+9.4% YoY

YoY Growth Rate

Slow revenue growth

EPS Growth

-100.0% YoY

YoY Growth Rate

Earnings declining

R&D Spend

R$0/ year

0.0% of revenue

Below sector average (15%)

Research and development spending

Insider Activity

82.9%ownership

Flat

Insider ownership roughly steady over the past year

Cash Runway

~9 years

R$14.7B cash & investments

Quarterly Free Cash Flow

↓ Burn rate worsening

R$14.7B cash & investments at current burn rate

Growth context

PicS N.V. is growing revenue at 9% year-over-year. The Winston Score measures business quality today — these growth metrics show what could matter tomorrow.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Share count broadly stable

0.0% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 129.6M (2021) → 129.6M (2025)

Score breakdown

Every number that matters to educated investors.

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Quality

Profit per sale
Gross Margin
79.1%
Premium pricing power — 79.1% gross margin
Profit after running costs
Operating Margin
10.4%
Modest — 10.4% operating margin
Return on the money invested
ROCE
8.3%
Below par — 8.3% return on capital

ROIC between 5% and 15%. They earn 5 to 15 cents back per year on every dollar invested.

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Growth

Sales growth
Sales YoY
+65.7%
Fast-growing sales (+65.7% YoY)
Profit growth
EPS YoY
-100.0%
Earnings shrinking (-100.0% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

How steady the profit is
EPS Consistency
2/4 quarters
Earnings inconsistent quarter-to-quarter

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Cash Flow

Profit that turns into cash
Cash Conversion
179%
Turns 179% of profit into real cash
Spare cash per sale
FCF Margin
15.0%
Converts sales into free cash efficiently (15.0%)

FCF margin between 10% and 20%. Every $100 in sales becomes $10 to $20 in real cash.

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Stability

What it owes vs what it owns
Debt / Equity
0.12
Conservative — low debt load (0.12)
Covers its interest
Interest Cover
0.30x
Dangerous — barely covers interest (0.3x)

Interest coverage below 1. Their profits don't cover the interest bill.

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Valuation

Price vs profit
P/E Ratio (TTM)
6.0x
Attractive valuation — P/E 6.0

P/E under 10. The price tag is small relative to last year's profit.

Cheaper or dearer next year
P/E vs Forward
-7.9
SLOWING
Earnings expected to fall — forward P/E higher than today

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Dividends

Not applicable for this business.
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