BORR 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 81.34978193665158 -3.0282481075478143 -1.4380116692227978 -0.40150420095019657 -3.157031961051607 -3.3077411417322837 -15.7236165625 0
Price to Sales Ratio 2.2452337328568817 1.9979068181388013 1.131415622339992 0.39850108009756097 2.9113485399580967 3.8212534111582777 13836.782575 0
Price to Book Ratio 1.832494988221046 0.9876041945756293 0.3118735275424205 0.11680400546182441 0.7570095316367033 0.4113622453975715 0.9280825390703602 0
Price to Free Cash Flows Ratio -10.518654212917086 -42.62841566778846 -3.567304012339332 -1.2619884874356333 -2.697397524126456 -1.1916124952723146 -1.2695460661528581 0
Price to Operating Cash Flow Ratio -34.17006612950481 14.186736734239998 -4.711990698811545 -2.240202598354662 -10.929006148314608 -4.660685558431953 -42.44411832822085 0
Price Earnings to Growth Ratio -0.7694425421080142 -0.20620927589492258 0.022198963410815814 0.013776162104458835 -0.05754196185167955 -0.2807339276700989 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.0280244171820523 0.46928648068669526 1.4944868532654791 1.4651404786680542 1.1129355226271527 1.7485331098072088 10.687203791469194 566.061475409836
Quick Ratio 0.9800221950347778 0.3947156652360515 1.1374045801526718 1.2299687825182102 0.6792150580696836 1.0067057837384745 8.222748815165877 566.061475409836
Cash Ratio 0.2846836824889372 0.14484978540772533 0.2960135708227311 0.19979188345473464 0.23668402082499 0.2338642078792959 7.7725118483412325 566.061475409836
Debt Ratio 0.5522872631746775 0.5455242029516607 0.6222121221958901 0.5997487042563217 0.5223170731707317 0.42801249270686753 0.0520241583447946 0
Debt to Equity Ratio 1.728760163052948 1.8239028736912453 2.1537251376559166 1.8199409017252883 1.3333333333333333 0.8141402271837055 0.05835401435374606 0
Long Term Debt to Capitalization 0.6217857556198879 0.5702044138063096 0.6828355549219474 0.6450106588163638 0.5709419975289678 0.4342382271468144 0.055136573927371826 0
Total Debt to Capitalization 0.6335332018035634 0.6458801719717587 0.6829146623908783 0.6453826392644673 0.5714285714285714 0.4487746950232106 0.055136573927371826 0
Interest Coverage Ratio 1.6365608017676767 -0.11722488038277512 -0.9860064585575888 -1.345537757437071 -2.071022727272727 9.591240875912408 -219.4 0
Cash Flow to Debt Ratio -0.03102145973657067 0.03816793893129771 -0.03073150370447668 -0.02864924317812811 -0.05194956805977119 -0.10841151471413679 -0.37471264367816093 0
Margins
Gross Profit Margin 0.38297045078607267 0.7374943668319063 0.512433754586221 0.6165853658536585 0.6360371146363364 0.3711340206185567 -478 0
Operating Profit Margin 0.32374287108264044 -0.033123028391167195 -0.37342030167142276 -0.3824390243902439 -0.43639628853636636 0.7968465736810187 -1097 0
Pretax Profit Margin 0.06635562379940224 -0.6182965299684543 -0.7472482674276396 -0.9398373983739837 -0.8886560909907213 -1.1425106124924196 -880 0
Net Profit Margin 0.027599751092206762 -0.6597566471383506 -0.7867916836526702 -0.9925203252032521 -0.9221789883268483 -1.1552456033959975 -880 0
Operating Cash Flow Margin -0.06570762035834021 0.14082920234339794 -0.24011414594374236 -0.17788617886178862 -0.2663873091888656 -0.8198908429351122 -326 0
Free Cash Flow Margin -0.21345256602310364 -0.046867958539882834 -0.3171626579698329 -0.31577235772357726 -1.079317569589943 -3.206791995148575 -10899.0 0
Return
Return on Assets 0.007196423015139907 -0.09754472465602824 -0.0626562347823264 -0.09586932621328727 -0.09393292682926829 -0.06538078731509764 -0.05262213717634396 None
Return on Equity 0.02252612047132517 -0.32613054132323455 -0.21687830093268906 -0.2909160232580307 -0.239785197291618 -0.12436349392871132 -0.05902475015091555 None
Return on Capital Employed 0.09559948390375239 -0.006515668631709587 -0.030920874966243586 -0.038090302519919676 -0.04811404811404811 0.04702261666189522 -0.06643653100775193 None
Return on Invested Capital 0.03337449607342201 -0.007302134111872951 -0.032945296008326325 -0.04047718881645381 -0.050922197657974615 0.048127103044731036 -0.055573545772409354 0
Turnover Ratios
Receivables Turnover Ratio 3.2047582118141467 2.3821792807300053 2.472782258064516 3.106060606060606 3.023529411764706 1.8738636363636363 0.0196078431372549 0
Payables Turnover Ratio 13.958988576052983 2.442348008385744 3.446685878962536 5.807881773399015 8.624113475177305 10.802083333333334 4.989583333333333 None
Inventory Turnover Ratio 494075218 2.3069306930693068 4.413284132841328 6.513812154696133 1.1898238747553815 1.2434052757793765 0 0
Fixed Asset Turnover Ratio 0.31028567270956453 0.17081056115772458 0.08547038327526132 0.10364004044489383 0.11309322320763658 0.06224050728466823 0.0000701213098660683 None
Asset Turnover Ratio 0.2607423157947223 0.14784955192057833 0.07963510047722624 0.0965918014763625 0.10185975609756097 0.05659470775989292 0.00005979788315493632 None
Per Share Items ()
Revenue Per Share 3.2780551495790085 2.4876035032654444 1.8207279087586852 4.090327683932359 6.217050192231713 3.2057544166605916 0.0038665057942489207 0
Operating Cash Flow Per Share -0.21539320328223963 0.3503272171115149 -0.43718252680752784 -0.7276127619873172 -1.6561432718007256 -2.628368690918811 -1.2604808889251482 0
Free Cash Flow Per Share -0.6997092832428882 -0.11658889785471215 -0.57746690298176 -1.29161241661734 -6.710171503498221 -10.280187601759375 -42.141046651518984 0
Cash & Short Term Investments 0.4187812968992294 0.6053654311686977 0.25904363642755046 0.2553960700211424 1.0997535658811561 0.6240431581249545 6.511195757515182 0
Earnings Per Share 0.09047350619490724 -1.6412129467240248 -1.4325335768056515 -4.059733363044409 -5.733233056649478 -3.703433695414449 -3.40252509893905 0
EBITDA Per Share
EBIT Per Share 1.0612469856919426 -0.08239696146462828 -0.6798967649502469 -1.5643009288794973 -2.7130976295342224 2.5544944229787854 -4.241556856291066 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0
Enterprise Value Per Share 13.88458001205672 13.543207657152992 16.02683125116681 26.771880830570897 48.88007399871438 35.87032514398192 50.35266428348138 0
Price Per Share 7.36 4.97 2.06 1.63 18.1 12.25 53.5 0
Effective Tax Rate 0.664062500294073 -0.06705539358600583 -0.05291871249318058 -0.056055363321799306 -0.037723139104075445 -0.01326963906581741 0.24659090909090908 0
Short Term Coverage Ratio -0.6327410737840675 0.1400089605734767 -84.14285714285714 -17.64516129032258 -26.176470588235293 -1.8935574229691876 0 0
Capital Expenditure Coverage Ratio 0.44473684065939056 -0.7503001200480192 3.1164021164021163 1.2900943396226414 0.3276877761413844 0.3434959349593496 0.03083325451622056 0
EBIT Per Revenue 0.32374287108264044 -0.033123028391167195 -0.37342030167142276 -0.3824390243902439 -0.43639628853636636 0.7968465736810187 -1097 0
Days of Sales Outstanding 113.89314758737481 153.2210455159982 147.60701182225844 117.51219512195122 120.71984435797665 194.78471801091573 18615 0
Days of Inventory Outstanding 0.0000007387539117576223 158.21888412017165 82.70484949832776 56.03477523324852 306.7680921052631 293.5486981677917 0 0
Days of Payables Outstanding 26.14802627076916 149.44635193133047 105.89882943143812 62.84563189143342 42.323190789473685 33.78977820636452 73.15240083507308 0
Cash Conversion Cycle 87.74512205535956 161.99357770483937 124.4130318891481 110.70133846376632 385.16474567376605 454.54363797234294 18541.84759916493 0
Cash Conversion Ratio -2.380732352941177 -0.2134562841530055 0.3051813471502591 0.1792267365661861 0.2888672508925673 0.7097112860892388 0.3704545454545455 0
Free Cash Flow to Earnings -7.733858371040724 0.07103825136612023 0.4031088082901555 0.31815203145478377 1.1703992210321323 2.775853018372704 12.385227272727272 0

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