BBAI 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
Price Ratios
Price to Earnings Ratio -5.290440353510255 -0.7070570921363644 -4.9021922788785295 -13247.435710933834 165.24975984630163 267.188713435154
Price to Sales Ratio 2.058226923642082 0.5549958688647902 4.160488950528239 4.946336038196612 14.018824871648603 20.877242662675215
Price to Book Ratio -4.742893330066088 -2.271611338946979 4.949624578648012 4.498984710698527 88.406852248394 0
Price to Free Cash Flows Ratio -14.426648704883227 -1.7314481580413388 -29.65073972879033 489.89649457700654 251.55983426760906 565.8717105263158
Price to Operating Cash Flow Ratio -17.444841993772876 -1.7586668430557257 -30.617513923769085 377.0321936560935 250.46105314244116 547.8503184713376
Price Earnings to Growth Ratio 0.09138033337881349 0.040655782797840954 -0.000029857605457365103 130.93395760806698 2.6789388380369603 0
EV to EBITDA
Liquidity Ratios
Current Ratio 0.9293958205823205 1.5194351230425056 2.9446999343026077 2.849108253836582 3.7026328161730135 0
Quick Ratio 0.8645623852408848 1.2314038031319912 1.4015396041018024 2.795935296557445 3.6297602256699575 0
Cash Ratio 0.4744396840663344 0.35324384787472035 0.9840326773115484 0.8049771878888428 0.38645980253878703 0
Debt Ratio 0.9818468310739833 1.0254316259446619 0.507659356885334 0.48997778948091497 0 0
Debt to Equity Ratio -2.914992203163288 -5.288207646810308 1.590260525627615 1.0657091347351015 0 0
Long Term Debt to Capitalization 1.530455813074099 1.2373854504882849 0.6087128915493137 0.5133234120732364 0 0
Total Debt to Capitalization 1.5221953375831743 1.233197662604755 0.6139384474626536 0.5159047403214219 0 0
Interest Coverage Ratio -2.4993661971830985 -3.4756857855361596 -10.109765524349395 0 50.25196850393701 93.26190476190476
Cash Flow to Debt Ratio -0.0932693434412908 -0.24425415054300337 -0.10165624341588 0.011196889545208142 0 0
Margins
Gross Profit Margin 0.2616650769508391 0.2773545103250737 0.2340188764785888 0.2374694744680618 0.23763344470703285 0.23740366916806568
Operating Profit Margin -0.22873218014487898 -0.32368670610472805 -0.5390374919287255 -0.0003734244445174502 0.08668133539782143 0.07922894880559882
Pretax Profit Margin -0.3883955041117785 -0.796014476391998 -0.8412534861036695 -0.0003733806410635479 0.08495640127129003 0.07837941705940654
Net Profit Margin -0.3890464282952231 -0.7849378431208108 -0.8486996661583481 -0.0003733806410635479 0.08483416184500041 0.0781366937033516
Operating Cash Flow Margin -0.1179848418447578 -0.31557760417002667 -0.13588591682809215 0.01311913444375089 0.05597207508217206 0.038107566900625015
Free Cash Flow Margin -0.14266840246448917 -0.3205385424260214 -0.14031653134402175 0.010096696124489416 0.05572759622959281 0.036893950120350336
Return
Return on Assets -0.30196588464809165 -0.6229852335797816 -0.32231909465149405 -0.00015614223891191354 0.39164785553047404 0
Return on Equity 0.8965025618177768 3.212769328263625 -1.0096757322175731 -0.00033961174138669485 0.5349892933618844 0
Return on Capital Employed -0.27032935226372556 -0.314482162107955 -0.2504660010724408 -0.00016528525035141293 0.5457499572430307 0
Return on Invested Capital -0.3600741456876698 -0.3367693722029067 -0.3239168694762054 -0.013552020490683252 0.6341111707648808 0
Turnover Ratios
Receivables Turnover Ratio 5.795973254641217 4.936184440976977 4.979919953477235 3.8047164701470773 5.3363774733637745 0
Payables Turnover Ratio 10.37896358035876 7.263519647257165 20.367123287671234 25.496887586964483 51.97222222222222 0
Inventory Turnover Ratio 114563000 0 1.1038298967541402 69632000 56130000 0
Fixed Asset Turnover Ratio 30.79872965462485 25.533025860648987 135.04452690166977 105.81344148319815 494.13422818791946 0
Asset Turnover Ratio 0.7761692761742784 0.7936746062629283 0.3797799239281857 0.4181851487188881 4.616629044394282 0
Per Share Items ()
Revenue Per Share 1.0397298642917463 1.213882909395365 1.3604170248502583 1.9873295959050787 0.7012 0.4708476190476192
Operating Cash Flow Per Share -0.12267236359973316 -0.3830742602899308 -0.18486151469032275 0.026072044152723853 0.039247619047619045 0.017942857142857142
Free Cash Flow Per Share -0.14833659873312358 -0.3890962584534484 -0.1908889981083421 0.020065463029057925 0.03907619047619048 0.017371428571428572
Cash & Short Term Investments 0.21815940032318307 0.09892052119838109 0.6438660581419087 0.21118791023208036 0.015657142857142856 None
Earnings Per Share -0.40450319009458086 -0.9528226327020123 -1.1545854748265474 -0.0007420303985235997 0.05948571428571429 0.0367904761904762
EBITDA Per Share
EBIT Per Share -0.23781967862119027 -0.39291776053900973 -0.7333157810524219 -0.0007421174504239429 0.06078095238095239 0.03730476190476192
Dividend Per Share 0.007880193346440498 0.0 0.0 0.21268955551299684 0.00799047619047619 0.0246952380952381
Enterprise Value Per Share 3.2370890947726396 2.143122368526585 6.8346303615422865 11.94731984609224 0 0
Price Per Share 2.14 0.6737 5.660000000000001 9.83 9.83 9.830000000000002
Dividend Ratios
Dividend Payout Ratio -0.01948116489414571 0 0 -286.631862975129 0.13432596861991675 0.6712399689360601
Dividend Yield 0.0036823333394581767 0 0 0.0216367808253303 0.0008128663469456959 0.002512231749261251
Effective Tax Rate -0.0016759313034099394 0.013915115364977996 -0.008851291766012346 -77.13514781792585 0.0014388489208633094 0.003096774193548387
Short Term Coverage Ratio -9.11703187250996 -17.07434554973822 -4.673281360737066 1.089090909090909 0 0
Capital Expenditure Coverage Ratio 4.779895561357702 63.612483745123534 30.669767441860465 -4.340579710144928 -228.94444444444446 -31.4
EBIT Per Revenue -0.22873218014487898 -0.32368670610472805 -0.5390374919287255 -0.0003734244445174502 0.08668133539782143 0.07922894880559882
Days of Sales Outstanding 62.97475574231136 73.94375237886344 73.29435079476295 95.93356111129363 68.39845978322874 None
Days of Inventory Outstanding 0.000003186019919171111 0 330.6668908618061 0.0000052418428308823535 0.000006502761446641725 None
Days of Payables Outstanding 35.16728786781072 50.25112035565712 17.92103847188593 14.315472771139707 7.022982362373063 None
Cash Conversion Cycle 27.807471060520555 23.692632023206315 386.04020318468315 81.61809358199675 61.37548392361713 0
Cash Conversion Ratio 0.30326673955537886 0.40204152078504857 0.1601107226107226 -35.13608634443923 0.6597822606468139 0.48770385710587627
Free Cash Flow to Earnings 0.36671305039260504 0.40836168778868126 0.16533119658119655 -27.041295166588455 0.6569004162664105 0.4721718871343516

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