BTMD Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
Price Ratios
Price to Earnings Ratio 5.426440215929662 5.156409965471448 -6.803660031110247 -1.2698486765048997 0.6336204639316106 -1.282285403403719
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Price to Sales Ratio 3.673114555280835 3.409159254560221 2.8415229136975455 2.4273895267934797 0.7297780845228728 0.7755428324994044
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Price to Book Ratio -5.710526738102528 -3.8320972182881397 -3.0161597707143626 -2.2426022611150027 -0.7302048649317349 -0.8755052095325193
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Price to Free Cash Flows Ratio 28.20436063844086 -479.3551486419753 23.602848930860034 8.630782473041549 5.655780155052264 5.419502610722612
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Price to Operating Cash Flow Ratio 24.13346097182289 970.6941760000001 20.659024968265683 8.378342714747538 5.365093057345893 5.091433236352261
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Price Earnings to Growth Ratio -0.6783050269912081 -0.02578204982735724 0.08557180657685053 0.006939321763800009 -0.002286543413318421 0.011382668804233284
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EV to EBITDA
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Liquidity Ratios
Current Ratio 5.507224848075625 4.694534146633178 5.158277353455415 5.41067472306143 5.391559202813599 4.501897914526861
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Quick Ratio 4.374341616025208 3.8174062113782243 4.454587282598693 4.796273917421954 4.592294575295748 3.8001161077122316
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Cash Ratio 4.006392077425163 2.614320456085795 3.150823594368271 4.411278952668681 4.222050516892252 3.4591613450631895
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Debt Ratio 0.728877298045655 0.7766262212101583 0.8461798463884015 0.9992109791413103 1.0786689954767343 1.09411560714742
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Debt to Equity Ratio -3.850426914310984 -2.8695255249327642 -2.535567288007758 -2.4525320367547074 -2.7087428867046044 -3.2247834740975847
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Long Term Debt to Capitalization 1.3806274519959085 1.5854930513420589 1.7169231244592758 1.7579798863139484 1.639201196192886 1.4874332988082284
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Total Debt to Capitalization 1.3508246413824379 1.534895077207338 1.6512251255999326 1.6884529736323277 1.5852255525280048 1.4494819435880697
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Interest Coverage Ratio 6.529831387808041 4.966666666666667 3.0109933254809578 3.2485572959604285 3.346929422548121 4.4504555808656034
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Cash Flow to Debt Ratio 0.061453649141716214 0.0013757641940171455 0.05757969795092765 0.10913886812106753 0.05024579001561099 0.053323435453870596
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Margins
Gross Profit Margin 0.6605255672494147 0.689026933292359 0.6786649613252939 0.6905425595968155 0.6532763852984151 0.6822253990945913
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Operating Profit Margin 0.2203137649607247 0.16680202822837326 0.1556936070000203 0.17574649332114264 0.16416769697650893 0.18620443173695497
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Pretax Profit Margin 0.20423166969345558 0.5161885110959896 -0.24713238727490508 -0.46384051022456124 0.2977408115094976 -0.1456278294019538
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Net Profit Margin 0.16922302693477453 0.1652874421054942 -0.10441155571796902 -0.47788952567847826 0.2879397549735866 -0.15120324040981653
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Operating Cash Flow Margin 0.15220007439336586 0.0035120837631977524 0.1375439023895081 0.28972191869411057 0.1360233786669664 0.1523230879199428
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Free Cash Flow Margin 0.1302321510622935 -0.007111969620475448 0.12038898024646243 0.28124790937270033 0.12903225806451613 0.1431022158684775
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Return
Return on Assets 0.04980198976142181 0.05028414213116615 -0.03698616344964474 -0.17987996810341209 0.11472972367772852 -0.057913084743287886
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Return on Equity -0.26308807021124603 -0.18579288904241406 0.11082857450705742 0.4415097449421072 -0.28810814458264916 0.1706923449351767
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Return on Capital Employed 0.07566125638713556 0.06095487141642469 0.06536933803849367 0.07938554520271972 0.07862918420740964 0.08963697883810288
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Return on Invested Capital 0.29559132823863216 0.10741312704102629 0.1689229853272851 0.6959546897561205 0.5174823596862638 0.8344508365441117
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Turnover Ratios
Receivables Turnover Ratio 5.59126567057324 4.476466542203007 5.908949136276392 5.864896678001569 6.402561888313183 5.49705304518664
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Payables Turnover Ratio 3.7340553549939832 2.488057604495961 2.1194429566148902 2.7408650997432353 3.7509727626459144 1.6175864160097029
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Inventory Turnover Ratio 0.7407495822391978 1.278840946019137 2.1400757166035693 1.4420658838200144 1.3792363408745416 1.3099891955603575
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Fixed Asset Turnover Ratio 14.766720516962843 13.78009679370841 16.54585152838428 13.630091185410334 12.509842519685039 21.4460909555442
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Asset Turnover Ratio 0.2942979490646833 0.30422239881401547 0.3542343871357478 0.3764049187896084 0.39845044560884946 0.3830148387450036
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Per Share Items ()
Revenue Per Share 1.344907686828815 1.5018365578408495 2.379005978594597 2.550064557696611 5.111142796838939 5.518715176834914
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Operating Cash Flow Per Share 0.20469504998755528 0.00527457578976965 0.32721776610387143 0.7388095964497106 0.6952349120753607 0.8406277370861474
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Free Cash Flow Per Share 0.17515022103592998 -0.010681015974283541 0.286406103763241 0.7172003256175915 0.6595022963663147 0.7897403705520727
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Cash & Short Term Investments 2.61907257604836 2.8210738950596115 4.2733915785786785 4.981960523842845 9.103314711393638 10.18549431290944
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Earnings Per Share 0.9103573988520713 0.9929388924241365 -0.9935828611496449 -4.874596567708528 5.886804818227264 -3.3377904705450905
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EBITDA Per Share
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EBIT Per Share 0.2963016760098755 0.2505093839153723 0.37039602188200593 0.44816490375771 0.8390845418751213 1.0276092234206542
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Dividend Per Share 0.0325463952395394 0.032966098686060305 0.168800899266868 0.17588809127301067 0.261503001137584 0.25022909176833075
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Enterprise Value Per Share 5.651812617042694 6.132850416030515 8.169475434422035 7.97748476333157 8.463365174808894 9.859201452301775
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Price Per Share 4.9399999999999995 5.119999999999999 6.760000000000001 6.19 3.73 4.28
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Dividend Ratios
Dividend Payout Ratio 0.1430049133695371 0.13280212483399734 -0.6795644565428738 -0.1443303779748017 0.1776875634319619 -0.2998739363378506
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Dividend Yield 0.006588339117315669 0.006438691149621155 0.024970547228826627 0.02841487742698072 0.07010804320042467 0.058464741067366995
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Effective Tax Rate -0.29397900149989287 0.164738901173669 -0.07574139489033106 -0.03028846153846154 0.032918082295205736 -0.03828534031413613
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Short Term Coverage Ratio 1.0602042371589697 0.02443494196701283 1.0375191424196017 2.008968609865471 0.9432579890880748 0.9927018633540373
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Capital Expenditure Coverage Ratio -6.9282868525896415 -0.3305785123966942 -8.017751479289942 -34.189473684210526 -19.456591639871384 -16.51937984496124
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EBIT Per Revenue 0.2203137649607247 0.16680202822837326 0.1556936070000203 0.17574649332114264 0.16416769697650893 0.18620443173695497
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Days of Sales Outstanding 16.096534363170907 20.105143007660732 15.231134661063402 15.345538880092768 14.056873103293245 16.37240886347391
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Days of Inventory Outstanding 121.4985497905253 70.37622644173078 42.05458680818802 62.41046335663329 65.25350103734439 68.70285671440355
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Days of Payables Outstanding 24.1024814695456 36.17279593421331 42.463987869598185 32.83634791381423 23.993775933609957 55.638449426407746
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Cash Conversion Cycle 113.4926026841506 54.308573515178196 14.821733599653236 44.91965432291183 55.31659820702768 29.436816151469714
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Cash Conversion Ratio 0.899405223687613 0.021248339973439577 -1.3173245187633678 -0.6062529164722352 0.4724022171910376 -1.0074062401512764
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Free Cash Flow to Earnings 0.7695888285492629 -0.04302788844621514 -1.1530235271242464 -0.5885207652823146 0.4481224139277071 -0.9464229435865112
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