AI Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
04-30
2022
04-30
2021
04-30
2020
04-30
2019
04-30
Price Ratios
Price to Earnings Ratio -7.6124525459475745 -9.396627759716763 -121.54540554761564 -126.85497825175128 -263.92804777634495
Price to Sales Ratio 7.670773927547367 7.140253406090386 36.948497723355366 56.17648169449657 96.07493784345833
Price to Book Ratio 2.201356542410438 1.8239568081622917 6.379336968341697 -48.17235467002742 -53.19912884382896
Price to Free Cash Flows Ratio -10.93176145377626 -19.886541609313188 -172.77744078456394 -137.17183106530547 -211.11964596037134
Price to Operating Cash Flow Ratio -17.689570753126866 -20.87348558522819 -180.26769918195617 -143.61620536789542 -252.34960090463352
Price Earnings to Growth Ratio -0.21528967356507986 -0.04101702593527159 4.929341447208859 -1.1684011154766563 0
EV to EBITDA
Liquidity Ratios
Current Ratio 6.53400127904498 7.061617244571116 9.42392256095112 3.4699959278865733 2.1900880626223094
Quick Ratio 6.362660707591205 6.928407327744075 9.309033216853436 3.403361344537815 2.1526712328767124
Cash Ratio 2.0937304743492673 2.260972637495089 0.9266578302606739 0.40849467540320095 0.9648434442270059
Debt Ratio 0.035954662982263366 0.026017993273446855 0.004704645388085187 0.0185082003749492 0
Debt to Equity Ratio 0.04265945259851667 0.03078798193389033 0.0053044973731948076 -0.03090910086098841 0
Long Term Debt to Capitalization 0.03859418708666629 0.026419620437496558 0.0016323112963468214 -0.031894944930810507 0
Total Debt to Capitalization 0.04091408032814621 0.02986839434830054 0.0052765081495757425 -0.031894944930810507 0
Interest Coverage Ratio 13.009673518742442 -107.3464696223317 0 0 12.168129642133694
Cash Flow to Debt Ratio -2.9171436496129504 -2.838169642857143 -6.671344821460295 -10.851956791216574 0
Margins
Gross Profit Margin 0.6763919863565659 0.7479298462171475 0.757014905822058 0.7524223507334074 0.6682932154358386
Operating Profit Margin -1.0888247530875765 -0.7759248928821526 -0.32888869482635347 -0.4563657717692416 -0.3934501391845423
Pretax Profit Margin -1.0051312805712251 -0.7567524796347509 -0.30014682043696816 -0.44041464006229813 -0.3611156596255663
Net Profit Margin -1.007661312993122 -0.7598740302026832 -0.30398925863866344 -0.4428401822986481 -0.3640194312537525
Operating Cash Flow Margin -0.43363256432841696 -0.34207288365597266 -0.20496460481287218 -0.3911569836467389 -0.3807215763331696
Free Cash Flow Margin -0.7016960587717161 -0.35904952939361207 -0.2138502431542925 -0.4095336575900323 -0.4550734130233066
Return
Return on Assets -0.2437281737181649 -0.16403446290915738 -0.04654999636432627 -0.22738833462249433 -0.12466493448230742
Return on Equity -0.2891783599468626 -0.194107594213913 -0.052485216858670816 0.3797435097456444 0.2015667879637801
Return on Capital Employed -0.3004098288605144 -0.19214215945128552 -0.05621124038239091 -0.31908474621656724 -0.21805971503766222
Return on Invested Capital -0.42691480692492223 -0.2891005958850766 -0.06379579151314536 -0.3764604142519488 -0.5448846362382004
Turnover Ratios
Receivables Turnover Ratio 1.9823384304459601 3.1488208693052284 2.798915368163764 5.082103350958575 1.4429165485303848
Payables Turnover Ratio 3.508208045509955 1.1751263418053046 3.6868737060041408 8.207151925518408 5.368551236749116
Inventory Turnover Ratio 86337000 0 22259500 0 0
Fixed Asset Turnover Ratio 3.154425500721228 17.411241992147136 29.87396054133377 17.96010546830219 12.54347528412981
Asset Turnover Ratio 0.2418750929260182 0.21587060011171066 0.15313039866207206 0.5134771949604731 0.34246780193281867
Per Share Items ()
Revenue Per Share 2.4286988739292314 2.37946737093506 1.7933070106424556 1.6464185226655257 0.9626860248476089
Operating Cash Flow Per Share -1.0531629206834712 -0.813951265141052 -0.3675644627444841 -0.6440081031459671 -0.36651534089389454
Free Cash Flow Per Share -1.7042084277794467 -0.8543466397416888 -0.38349914027618653 -0.6742637995111903 -0.4380928149972411
Cash & Short Term Investments 6.654322673439477 9.038933412240032 10.70182926672304 2.5744980841124123 1.644852666896711
Earnings Per Share -2.447305896168446 -1.8080954608882067 -0.5451460686767178 -0.7291002787170723 -0.3504364192409625
EBITDA Per Share
EBIT Per Share -2.6444274517300705 -1.8462879649093638 -0.5897984021531468 -0.7513690597514272 -0.37876895046730547
Dividend Per Share 0.0 0.0 0.0 0.7899584717184643 0.0
Enterprise Value Per Share 12.336702715496443 8.237853978073131 55.61326674054105 89.97484679861576 0
Price Per Share 18.63 16.99 66.25999999999999 92.49 92.49000000000001
Effective Tax Rate -0.0025171163914619412 -0.00412492942135971 -0.012801862089031132 -0.005507406011768457 -0.00804111245465538
Short Term Coverage Ratio -49.4617357845233 -23.930805424854693 -9.643810991268618 0 0
Capital Expenditure Coverage Ratio 1.6176487038228138 20.149615474248428 23.066953316953317 21.285515804098644 5.120540302451916
EBIT Per Revenue -1.0888247530875765 -0.7759248928821526 -0.32888869482635347 -0.4563657717692416 -0.3934501391845423
Days of Sales Outstanding 184.12597687362958 115.91640653745267 130.4076586779611 71.82065668364547 252.95988210250533
Days of Inventory Outstanding 0.0000042276196763844 0 0.000016397493205148362 0 0
Days of Payables Outstanding 104.0417202358201 310.60490009888093 98.99986522608324 44.47340603810555 67.98854735733562
Cash Conversion Cycle 80.08426086542917 -194.68849356142826 31.407809849371063 27.347250645539916 184.9713347451697
Cash Conversion Ratio 0.43033562838725037 0.45017051519017 0.6742494972708992 0.8832915333390988 1.0458825646254424
Free Cash Flow to Earnings 0.6963610190485756 0.4725119100304584 0.7034796035621949 0.9247888379601603 1.2501349487194866

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