AHCO Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
Price Ratios
Price to Earnings Ratio -1.4433855308994765 38.53871198568873 20.835675620297742 -33.57487107871522 20.239916646236825 147.25486962715965 -439311.59420289856
Price to Sales Ratio 0.3062040693374148 0.8992640733590409 1.3257140924859494 1.8662152672926358 0.46762704760178536 0.8896807794808164 0
Price to Book Ratio 0.6718807860926708 1.238020834588494 1.5745047464809654 4.99417170360988 -3.376735038286732 1.251018688100486 12470.687456288311
Price to Free Cash Flows Ratio 6.84278415954973 -152.16161768056506 44.96292216495558 12.64730515335613 6.336689863378192 5.253144670274634 7.756813277709295
Price to Operating Cash Flow Ratio 2.03864475540188 7.145186282822501 11.803625375890075 10.077232382919124 4.099372041444603 4.489285836627071 6.599625861902973
Price Earnings to Growth Ratio 0.0013475053430300318 -0.7193892903995227 -0.10417837810148871 0.10921946013557964 0.028571987150647078 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.2086093270192309 1.2829680807691128 1.3406200731475035 0.857381037797463 1.0996385382562783 1.5800887340879877 0.41850238728087485
Quick Ratio 0.8678638135266546 0.9012568662952035 1.0194293054188375 0.6360970830918674 0.6952555780549194 363.12384739338256 0.41850238728087485
Cash Ratio 0.14363527678822494 0.10142608512671684 0.299366561827247 0.22988014092410153 0.18485645616093563 1.354171402916529 0.41850238728087485
Debt Ratio 0.47325884713864824 0.4461699747508759 0.4515004711946556 0.44188378125165984 0.7082638389016661 0 0.5609498544827053
Debt to Equity Ratio 1.4991038455789487 1.079279047974796 1.1470501851028385 2.0443217226092463 -2.200040729275164 0 7.168305426420373
Long Term Debt to Capitalization 0.5895226322716031 0.5117497543201304 0.5271190121043259 0.6629864818947545 1.8493226752066434 0 0
Total Debt to Capitalization 0.5998565638762652 0.5190640712827875 0.5342447014334215 0.6715196056404598 1.8333050500744335 0 0.8775755866369171
Interest Coverage Ratio 1.8201954732450318 1.7402800372895608 2.3699248910131834 1.8052136133236785 2.2393484654249303 -0.29730840219711846 0
Cash Flow to Debt Ratio 0.21984619282885728 0.16053903624277158 0.11629100867461178 0.24242251510540325 0.37441128352585396 0 263.6055670339761
Margins
Gross Profit Margin 0.13201676032294463 0.14051932356985722 0.18154558806454177 0.15262559530627448 0.16954218305125707 0.17399135005680938 0
Operating Profit Margin 0.07513521908319445 0.0640986065081238 0.09191353963174288 0.07079778377094044 0.056067849347863845 -0.0035731057173158244 0
Pretax Profit Margin -0.22616998997242965 0.03295703386021992 0.07779844247484757 -0.06690054515902759 0.0236592881256089 0.00844507369137381 0
Net Profit Margin -0.2121429533428932 0.023334045872964844 0.06362712285626401 -0.05558369123495228 0.023104198291682716 0.0060417749289611525 0
Operating Cash Flow Margin 0.15019981707261817 0.12585593121916652 0.11231414504172889 0.18519125057152241 0.1140728489324905 0.19817868851702677 0
Free Cash Flow Margin 0.04474846235067623 -0.005909927135809492 0.029484607064067126 0.14755833315189765 0.07379673894162872 0.1693615606124748 0.0
Return
Return on Assets -0.14695247246271342 0.013279977898634509 0.029744876853257718 -0.032151995632611514 0.05370968591442968 0.008208951870250636 -0.002221392330079584
Return on Equity -0.4654894840701181 0.032124084350515676 0.07556773176805992 -0.14874730842305256 -0.1668354221663538 0.008495601478361899 -0.028386884436582053
Return on Capital Employed 0.05889202288217873 0.039973984821260064 0.0474890710198473 0.05375088309129026 0.16969627703648676 -0.004868172202296989 -0.028386884436582053
Return on Invested Capital 0.055961944118271954 0.030153566279871098 0.04060967767074397 0.048115090849171316 0.1755117380977825 -0.0034958526146718983 0
Turnover Ratios
Receivables Turnover Ratio 8.228579877092386 8.271274077951585 6.8201230355436016 5.980429232171466 19.638264738598444 0 0
Payables Turnover Ratio 13.133084953476057 11.474658996427047 8.099622218548786 4.685753619698699 16.599252773794248 6994.724407710796 0
Inventory Turnover Ratio 24.442547649636577 19.985041564256306 16.320118607579513 15.228161203068915 24.150167462801296 0 0
Fixed Asset Turnover Ratio 5.019665018634476 4.775814780517292 4.492712373498408 9.562850780316472 242.8445667125172 0 0
Asset Turnover Ratio 0.6927049432803436 0.5691245303507729 0.4674873783064571 0.5784429734381084 2.3246721325865973 1.3586987212815815 0
Per Share Items ()
Revenue Per Share 23.807652248954753 21.373032204219072 18.45043372370973 20.12629553421735 23.480250033249103 11.048906784 0
Operating Cash Flow Per Share 3.5759050127215106 2.6899228710392262 2.0722446893275404 3.727213839353757 2.67845901493993 2.189657856 1.469780288
Free Cash Flow Per Share 1.065355830320344 -0.12631306299824446 0.5440037885051942 2.969802621551593 1.732765881987853 1.871260096 1.250513536
Cash & Short Term Investments 0.5738219583686709 0.3742769159927476 1.1247275132672852 1.904473403444597 0.43303630801968346 8.126920864 0.003834272
Earnings Per Share -5.050625660253835 0.49871931389760277 1.1739480132898357 -1.1186937966773358 0.5424923527064769 0.066755008 -0.00002208
EBITDA Per Share
EBIT Per Share 1.7887931675817226 1.3699815811436962 1.6958446712870396 1.424897119341564 1.3164871215143856 -0.039478912 0
Dividend Per Share 0.0 0.0 0.026737525745298193 17.831580551745166 3.6551846433479627 0.0 0.0
Enterprise Value Per Share 22.98166331890074 35.60129191009296 41.154747207480796 51.030393232738916 17.70075187303276 0 9.701741407999998
Price Per Share 7.29 19.220000000000002 24.46 37.56000000000001 10.98 9.83 9.7
Effective Tax Rate 0.0677052822389 0.25299789585503873 0.1717960399876413 0.16915936779250917 0.023461814699545128 0.28457996344869047 0
Short Term Coverage Ratio 5.238295553618134 5.562503719573885 4.122980976310122 6.429407125016432 36.39638554216867 0 263.6055670339761
Capital Expenditure Coverage Ratio -1.424351706705624 -0.9551482667089057 -1.3559673008440396 -4.920991070305622 -2.8322707669229326 -6.877114512363404 -6.703160760095539
EBIT Per Revenue 0.07513521908319445 0.0640986065081238 0.09191353963174288 0.07079778377094044 0.056067849347863845 -0.0035731057173158244 0
Days of Sales Outstanding 44.35759334561807 44.128630796187295 53.51809609559449 61.032408516181064 18.586163536262095 0 0
Days of Inventory Outstanding 14.932976923353854 18.263659789069976 22.3650335378374 23.968750733111623 15.113766832557683 0 0
Days of Payables Outstanding 27.792403787306043 31.809224144582675 45.06383015792028 77.89568757212422 21.988941609241394 0.05218218456150092 0
Cash Conversion Cycle 31.498166481665884 30.583066440674596 30.819299475511613 7.105471677168467 11.710988759578385 -0.05218218456150092 0
Cash Conversion Ratio -0.7080122846684687 5.393660915228807 1.7651928925884428 -3.331755168772778 4.937321238865735 32.80140204612065 0
Free Cash Flow to Earnings -0.21093541711162994 -0.25327485717583237 0.4633968304786298 -2.654705541741885 3.194083517201929 28.031755999489956 0

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