AFRM Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
2019
06-30
Price Ratios
Price to Earnings Ratio -4.594954390370885 -7.191762398217741 -24.751706485961524 -222.29791326666546 -207.79793647420198
Price to Sales Ratio 2.8511700889995812 3.7705515043889686 12.25332651786863 49.124484695639886 94.68012436499261
Price to Book Ratio 1.7866173570653738 1.9431166866710843 4.132292666901187 -68.18461775121493 -95.02266560623201
Price to Free Cash Flows Ratio -41.693052413393005 -22.560807877696725 -49.98584516992998 -271.12250125106965 -229.84876296384724
Price to Operating Cash Flow Ratio 371.6948800410475 -44.70628278084359 -55.227461368249365 -351.04626010490585 -285.5742842245776
Price Earnings to Growth Ratio -0.13895584963651705 0.9315044630072482 -0.04776645111325908 34.826673078444266 0
EV to EBITDA
Liquidity Ratios
Current Ratio 47.016964352951646 20.33350641296078 9.823936479416583 36.91475942603762 54.700136646591424
Quick Ratio 44.254314682585864 19.26749456421795 9.269309834592823 35.05640474813407 52.57892605901108
Cash Ratio 6.10680422534247 4.525927688773983 3.875067378322676 7.355173648406731 16.217824788703883
Debt Ratio 0.6951955186702659 0.5871487133542268 0.41329908339218246 1.2902782740037269 1.005817998180243
Debt to Equity Ratio 2.237307645106924 1.5638862524849566 0.7793079294408352 -4.928667160633731 -4.385442687176839
Long Term Debt to Capitalization 0.6826395718373103 0.6090092635470397 0.4249417456628674 1.6673866012180711 1.8166888345285377
Total Debt to Capitalization 0.6911013380172674 0.6099670962271493 0.4379837331954904 1.2545392518919039 1.2953823450586641
Interest Coverage Ratio -6.561621305590314 11.42643556116739 -6.195313092979127 -13.153363541303591 -27.430037817396002
Cash Flow to Debt Ratio 0.0021484203792514903 -0.027792342843215287 -0.09601230516531586 -0.0394087417523078 -0.07587429567680384
Margins
Gross Profit Margin 0.4501453099368067 0.5727707568117205 0.6210653168884641 0.6620224992542117 0.5886778607012222
Operating Profit Margin -0.7562174705680469 -0.5902013796865319 -0.3750792680685244 -0.14812532382911242 -0.3841099683394675
Pretax Profit Margin -0.6229561362355438 -0.5371935800404953 -0.497741434453349 -0.22024697366974927 -0.45549936262846724
Net Profit Margin -0.6205001936416276 -0.5242875522866807 -0.49504976656128225 -0.22098491152596128 -0.455635536961875
Operating Cash Flow Margin 0.0076707273683315645 -0.08434052821776161 -0.2218701749871333 -0.13993735378624925 -0.33154289302371326
Free Cash Flow Margin -0.06838477693429094 -0.1671283902965407 -0.2451359275053305 -0.1811892575089102 -0.4119235759379953
Return
Return on Assets -0.12081798858823031 -0.10143936039388614 -0.0885403578861332 -0.08029803508786944 -0.10487982202950792
Return on Equity -0.3888215649777463 -0.2701864409692715 -0.16694980886448807 0.3067263059254255 0.45728397123919
Return on Capital Employed -0.1499288848403854 -0.1189215859178196 -0.07273977739145779 -0.055254176238815414 -0.08996355247327566
Return on Invested Capital -0.16805407293437782 -0.14283770588248168 -0.10745628172985502 -0.06891259193572973 -0.12566696663938243
Turnover Ratios
Receivables Turnover Ratio 0.3611033038080841 0.5412559153208062 0.42978766475669455 0.5065877646141793 0.36796393391968085
Payables Turnover Ratio 30.527970072022935 17.43036405418481 5.710879878112123 9.379064321115408 10.025815969020837
Inventory Turnover Ratio 873161000 -7.932639777621819 -1.9199592549476134 172209000 -0.17242226833817575
Fixed Asset Turnover Ratio 4.957712312601076 7.868417676490827 13.927646842349478 10.584295803905276 7.857541982463962
Asset Turnover Ratio 0.19471063800829244 0.1934803905823403 0.17885142841527382 0.3633643334895108 0.23018358648852202
Per Share Items ()
Revenue Per Share 5.376739907291533 4.7897502471396916 5.4964666045408705 1.979460967427322 1.0270370962456603
Operating Cash Flow Per Share 0.041243505959261684 -0.40397006587491585 -1.2195020073604173 -0.2770005297049483 -0.34050685013196
Free Cash Flow Per Share -0.36768715919383166 -0.8005032487269148 -1.347381439106201 -0.35865706295602556 -0.42306079330648744
Cash & Short Term Investments 6.9975477297337605 10.118931875741179 9.362552541653274 1.0374952240115816 1.244905693288986
Earnings Per Share -3.3362681536350633 -2.511206433137393 -2.7210245094898418 -0.43743100675602054 -0.46795459882765633
EBITDA Per Share
EBIT Per Share -4.065984652594278 -2.826917204215753 -2.061610670994277 -0.29320829680726024 -0.3944951865223792
Dividend Per Share 0.053388687461262484 0.0 30.433669323301032 8.637224757869287 1.2025992254691928
Enterprise Value Per Share 27.52958257007792 22.47636902184161 70.68896530296732 103.2314155553773 100.48287039866173
Price Per Share 15.330000000000002 18.06 67.35 97.24000000000001 97.24
Dividend Ratios
Dividend Payout Ratio -0.016002516884948928 0 -11.184636234315644 -19.74534183555658 -2.5699057739404756
Dividend Yield 0.0034826280144332994 0 0.45187333813364566 0.08882378401757801 0.012367330578663028
Effective Tax Rate 0.003942400517566427 0.024024910634340972 0.005407763360152885 -0.0033505016841617508 -0.00029895614479442614
Short Term Coverage Ratio 0.05568686254520186 -6.920036485253877 -1.854184467976843 -0.07992171702452956 -0.15397709904889728
Capital Expenditure Coverage Ratio -0.10085696543158766 1.0187547558300882 9.536342089670155 3.392264141966792 4.124658823529412
EBIT Per Revenue -0.7562174705680469 -0.5902013796865319 -0.3750792680685244 -0.14812532382911242 -0.3841099683394675
Days of Sales Outstanding 1010.7910842986552 674.357526021054 849.2565746544371 720.5069397560095 991.9450423086088
Days of Inventory Outstanding 0.0000004180214187303372 -46.012425905141235 -190.10820102531764 0.0000021195175629612856 -2116.8959410980324
Days of Payables Outstanding 11.956248618525105 20.94046910697589 63.91309356705644 38.916461973532165 36.406014346146776
Cash Conversion Cycle 998.8348360981514 607.4046310089369 595.2352800620631 681.590479901995 -1161.3569131355705
Cash Conversion Ratio -0.012362167565674967 0.16086692855840334 0.44817751663290195 0.6332439297323221 0.7276493296251713
Free Cash Flow to Earnings 0.1102091145740832 0.31877237895046345 0.4951743118840257 0.8199168724133644 0.9040637582499689

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