BNGO 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
2016
12-31
Price Ratios
Price to Earnings Ratio -0.27761480990825527 -3.1844595613744002 -11.425114654517843 -7.8057571233286716 -0.6224870138936975 -2.004937438609649 -0.7109462964069381 -1.7056296178790857
Price to Sales Ratio 1.7871165134566398 15.187633983166679 46.02514765585896 37.762515559243674 1.8335141252664986 3.0901531281209023 1.747653219454136 4.732777066974994
Price to Book Ratio 0.6712303836434165 1.693063296417774 2.45486203643828 9.152627359980599 5.139470207691912 3.6581656095364554 -0.3307274815637285 -1.1793825533846252
Price to Free Cash Flows Ratio -0.4912247988857854 -3.295763280725581 -11.276904356357393 -8.380510982065271 -0.6276481563038427 -1.8290051329277515 -0.760752976740582 -1.2939098037926184
Price to Operating Cash Flow Ratio -0.49762918073738255 -3.382952506088963 -11.505806998762635 -8.380510982065271 -0.6289458890907195 -1.8594260575705377 -0.7979479385860119 -1.3682442189551247
Price Earnings to Growth Ratio -0.005701685333541746 -0.0425677757693925 0.33931731492740963 0.09736423412442527 0.026160467111223884 0.028732122007908326 -0.005082617654328746 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.4007877794217618 4.383513543640619 12.473168498168498 5.231359744256917 1.0742582575723765 5.09082830941375 0.4287327280858306 1.1465018339174067
Quick Ratio 1.1151777502299356 3.349905250250808 11.700824175824176 4.609108074529717 0.898895209049756 4.651271108587636 0.26267385712598257 0.7578291373139318
Cash Ratio 0.5305014595913145 0.1418738156281351 1.1250457875457875 4.29883868203582 0.6581048478978392 3.6531570821402286 0.061366898685348906 0.5606271362107512
Debt Ratio 0.4101929068487528 0.03794446865386241 0.028363829223017768 0.27006830458852565 0.6628343094477445 0.36405212216984784 0.6633465261687034 0.4485592352636512
Debt to Equity Ratio 0.9146188005033435 0.04678465745515201 0.031727762979134905 0.46535032293038625 5.540778223425292 0.890703498379409 -0.13398617733323875 -0.24333918388411713
Long Term Debt to Capitalization 0.0694363798242558 0.03528920281137703 0.025805668577769558 0.31756933181669855 0 0.4710963401415735 0 -0.2850170087324583
Total Debt to Capitalization 0.4777028201451354 0.044693678993051565 0.030752068634385045 0.31756933181669855 0.8471129939219499 0.4710963401415735 -0.15471598007598558 -0.3215961216721042
Interest Coverage Ratio -27.237155694471575 -441.93959731543623 -83.17259978425027 -15.304866860164365 -11.317886130497998 -14.782570759088907 -39.29217652941903 -45.03228441600436
Cash Flow to Debt Ratio -1.47477458014486 -10.697291738087076 -6.724663425579656 -2.346903657045502 -1.4748039860539055 -2.2087740523318673 -3.093397498154464 -3.54224853976436
Margins
Gross Profit Margin 0.2648687562299258 0.21383353715560033 0.21544964128802624 0.32610281284781906 0.3318385256223698 0.27410062800320145 0.3655460580241457 0.47316308514808864
Operating Profit Margin -3.860532727876841 -4.736997338320984 -4.28791502141149 -4.533857996204627 -2.554408960435196 -1.7011528877189606 -2.4427883177382785 -3.1163070132165154
Pretax Profit Margin -6.435679477240004 -4.701532263865909 -4.3463656081419275 -4.834344154946075 -2.9433877736213843 -1.5399790929472237 -2.4562552741739307 -2.7728950509135495
Net Profit Margin -6.437396167903422 -4.769297172865262 -4.028418886602525 -4.83777742025623 -2.9454656632878913 -1.5412715971146767 -2.4582070801783855 -2.774797656750416
Operating Cash Flow Margin -3.591261490752021 -4.489461189842458 -4.000166842778488 -4.5059920140976395 -2.915217599907123 -1.6618854595156047 -2.190184515735489 -3.459014846479112
Free Cash Flow Margin -3.6380828441687894 -4.608229623768075 -4.081363661642845 -4.5059920140976395 -2.9212451384608213 -1.689526766485553 -2.2972676714876514 -3.657733369901523
Return
Return on Assets -1.0843687617768325 -0.4312036994881334 -0.1920843277645187 -0.6804940703753409 -0.9876936689271596 -0.7457494572808033 -2.3031061236829053 -1.2746111862822553
Return on Equity -2.4178478945890576 -0.5316642475079992 -0.2148654180435337 -1.1725483147082048 -8.256349277945873 -1.824578432768087 0.46519333912448374 0.6914646304343391
Return on Capital Employed -1.2190232216548926 -0.48486477332135575 -0.21702696616562517 -0.7484886968491745 -6.62952564450753 -1.0066829365807677 3.5682278029315064 -3.902802078651126
Return on Invested Capital -2.274700976510443 -0.5012483222324795 -0.21609694633569662 -2.954673601254847 1.9311167590657805 -5.43868762114509 3.086369201281825 -121.54405266012812
Turnover Ratios
Receivables Turnover Ratio 3.738329365490115 3.959270863001994 3.644304823672477 3.0640920029318477 1.5992370021738365 2.6583628190476865 2.835452330907275 3.678604134049834
Payables Turnover Ratio 2.5568181818181817 1.743816818254348 1.4549298679867986 1.9559037868532274 2.5075077255716884 6.444546864180579 2.6185871772203124 4.516657158867748
Inventory Turnover Ratio 1.159743152928843 0.7344175262927993 1.1388552514733188 1.728179019382889 1.965451150974907 8.152420507282251 3.5604667062634094 1.9910370585083685
Fixed Asset Turnover Ratio 1.111911579076999 0.9600801160301126 0.8588965846668258 1.7316226289677408 5.195618644611143 6.7522205005114495 3.1622466388181736 1.676369659752774
Asset Turnover Ratio 0.16844834984421933 0.0904124200818206 0.04768231238398303 0.14066254216782445 0.3353268317596483 0.48385337060442607 0.9369048451018925 0.4593528408031601
Per Share Items ()
Revenue Per Share 1.0575695461200585 0.9613083918260088 0.6496448468469771 0.8156236295137558 6.762969441644022 16.957088476668478 35.19004761093793 12.994484872136264
Operating Cash Flow Per Share -3.79800878477306 -4.315756716572732 -2.5986877759391867 -3.675193561098315 -19.7155275439147 -28.180738775094955 -77.07269738547089 -44.94811609506757
Free Cash Flow Per Share -3.8475256222547585 -4.429929808789461 -2.6514368708947837 -3.675193561098315 -19.756291602961696 -28.649454862995118 -80.84095873471897 -47.53036094149335
Cash & Short Term Investments 2.9835431918008783 3.9136267763908577 9.054490537679474 3.6880789614942047 11.557944037548655 23.34668480964008 3.7833184009240814 10.042429946589536
Earnings Per Share -6.807994143484628 -4.584765395387435 -2.6170415706223675 -3.9458055782890806 -19.920094272227747 -26.1354788388497 -86.5044241890221 -36.057066173882426
EBITDA Per Share
EBIT Per Share -4.0827818448023425 -4.553715293385429 -2.78562189737772 -3.6979217145643815 -17.275389740884904 -28.84660002939049 -85.961837204653 -40.494804340174156
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 1.4817715959004394 11.089817087929186 21.231950777145915 28.67789651008735 14.21029182996281 41.811858213510575 82.6319074733623 64.14671808762988
Price Per Share 1.8900000000000001 14.6 29.900000000000002 30.8 12.399999999999999 52.4 61.50000000000001 61.49999999999999
Effective Tax Rate -0.00026674582994523107 -0.014413366791113286 0.07315231855870612 -0.0007101822295051195 -0.0007059517217299842 -0.0008392998147653243 -0.0007946266925008862 -0.0006861441929579329
Short Term Coverage Ratio -1.6057792304263854 -49.04361493123772 -40.72876557191393 0 -1.4748039860539055 0 -3.093397498154464 -40.0189361488322
Capital Expenditure Coverage Ratio 76.70136014192785 37.800121138703815 49.265068493150686 0 483.6497641509434 60.123259052924794 20.453118890187948 17.406605015509097
EBIT Per Revenue -3.860532727876841 -4.736997338320984 -4.28791502141149 -4.533857996204627 -2.554408960435196 -1.7011528877189606 -2.4427883177382785 -3.1163070132165154
Days of Sales Outstanding 97.637196810278 92.18869146104596 100.15627606918414 119.12174949405997 228.2338387017415 137.30255230200484 128.72725667837588 99.22241880323384
Days of Inventory Outstanding 314.7248587570621 496.9924966829849 320.49727085843904 211.2049711900431 185.70799880676353 44.77197903051728 102.51465049733754 183.3215501641382
Days of Payables Outstanding 142.75555555555556 209.31097588873132 250.87119869568298 186.61449630261893 145.56286159269297 56.637030918140354 139.38814150440294 80.81197823115261
Cash Conversion Cycle 269.60650001178453 379.8702122552996 169.78234823194023 143.71222438148413 268.3789759158121 125.43750041438177 91.8537656713105 201.73199073621944
Cash Conversion Ratio 0.5578748607484956 0.941325530181906 0.9929868157658589 0.9314178025699625 0.9897306345282586 1.0782560728600477 0.890968272525093 1.2465827330018677
Free Cash Flow to Earnings 0.5651481980102626 0.9662282421792514 1.0131428176986264 0.9314178025699625 0.9917770133500611 1.0961901650873318 0.934529759519261 1.318198233663322

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