E
Sell
8/15/2024Downgrade
NiCAN Limited (NICN.V) was downgraded to E+ from D- on 8/15/2024 due to a decline in the total return index, valuation index and volatility index.
D
Sell
7/25/2024Upgraded
NiCAN Limited (NICN.V) was upgraded to D- from E+ on 7/25/2024 due to an increase in the valuation index.
E
Sell
7/10/2024Downgrade
NiCAN Limited (NICN.V) was downgraded to E+ from D- on 7/10/2024 due to a decline in the volatility index and total return index.
D
Sell
6/25/2024Upgraded
NiCAN Limited (NICN.V) was upgraded to D- from E+ on 6/25/2024 due to a large increase in the total return index and volatility index.
E
Sell
2/2/2024Downgrade
NiCAN Limited (NICN.V) was downgraded to E+ from D- on 2/2/2024 due to a decline in the volatility index, total return index and valuation index.
D
Sell
1/18/2024Upgraded
NiCAN Limited (NICN.V) was upgraded to D- from E+ on 1/18/2024 due to a substantial increase in the growth index and volatility index. Operating cash flow increased 67.76% from -$601.5 to -$193.9.
E
Sell
6/27/2023Downgrade
NiCAN Limited (NICN.V) was downgraded to E+ from D- on 6/27/2023 due to a decline in the volatility index and total return index.
D
Sell
6/12/2023Upgraded
NiCAN Limited (NICN.V) was upgraded to D- from E+ on 6/12/2023 due to an increase in the volatility index.
E
Sell
5/25/2023Downgrade
NiCAN Limited (NICN.V) was downgraded to E+ from D- on 5/25/2023 due to a decline in the volatility index and total return index.
D
Sell
5/1/2023Upgraded
NiCAN Limited (NICN.V) was upgraded to D- from E on 5/1/2023 due to an increase in the growth index, solvency index and volatility index. The quick ratio increased from 6.15 to 12.82, earnings per share increased from -$0.0247 to -$0.0022, and EBIT increased 66% from -$592 to -$201.3.
E
Sell
2/1/2023Upgraded
NiCAN Limited (NICN.V) was upgraded to E from E- on 2/1/2023 due to a substantial increase in the solvency index and valuation index. The quick ratio increased from 0.05 to 6.15.
E
Sell
10/26/2022None
NiCAN Limited (NICN.V) was downgraded to E- from U on 10/26/2022.