CLNN 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
Price Ratios
Price to Earnings Ratio -0.6287341167461215 -4.267600170168205 -25.912696663244354 -9.824827174352857 -11.180498787953288
Price to Sales Ratio 47.591519442507646 137.85341014799155 349.0866742738589 919.3844341747573 0
Price to Book Ratio 2.324484967542942 20.143547420451036 20.035696237199332 555.4052593548388 -2.684019170773453
Price to Free Cash Flows Ratio -1.0204535495688665 -1.4755524553066304 -7.019403312381799 -9.804990341685649 -13.483560542583945
Price to Operating Cash Flow Ratio -1.0316149188094526 -1.671443003255492 -7.28944274202865 -10.005451605473084 -13.783944478290522
Price Earnings to Growth Ratio -0.006025368618816998 -0.09754514674670182 0.3032336843571148 -0.5772085964932295 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.5338333991314648 2.106877390488562 9.05791569863923 5.398440178265341 2.1968011126564675
Quick Ratio 1.4345834978286616 1.6961824348704626 8.612844341188184 5.266026739801165 2.1770978210477514
Cash Ratio 1.1378207658902486 1.3229414736234395 8.345170925987388 5.080133699005828 2.037088548910524
Debt Ratio 0.5207772109818307 0.7152585800013486 0.3812378098092384 0.06334715648491421 0.19352019896484507
Debt to Equity Ratio 2.035698282300224 9.831325301204819 1.9085496546796856 12.67741935483871 -0.04247941688553133
Long Term Debt to Capitalization 0.34816473566351863 0.8847263274099926 0.65149670779616 0.9203271028037383 -0.037711870894642556
Total Debt to Capitalization 0.6705864987207243 0.9076751946607341 0.6561860312781462 0.9268867924528302 -0.044363972571076354
Interest Coverage Ratio -8.894251864853006 -13.753033980582524 -52.04137931034483 -17.89894736842105 -185.5909090909091
Cash Flow to Debt Ratio -1.1068677085626237 -1.2258358471593767 -1.440146410448382 -4.378672218366875 -4.583883292810003
Margins
Gross Profit Margin -1.7920489296636086 0.945031712473573 0.6002766251728907 0.6844660194174758 0
Operating Profit Margin -61.98776758409786 -95.83509513742072 -62.62240663900415 -82.54368932038835 0
Pretax Profit Margin -75.69418960244649 -63.25158562367865 -14.063623789764868 -91.60679611650485 0
Net Profit Margin -75.69418960244649 -32.30232558139535 -13.4716459197787 -93.57766990291262 0
Operating Cash Flow Margin -46.13302752293578 -82.47568710359408 -47.88934993084371 -91.8883495145631 0
Free Cash Flow Margin -46.63761467889908 -93.42494714587738 -49.73167358229598 -93.76699029126213 0.0
Return
Return on Assets -0.9457977493742955 -0.3434023329512508 -0.1544487258772973 -0.28247585832979205 -1.0936344693150502
Return on Equity -3.6970873786407767 -4.720111214087118 -0.7731999682464079 -56.530791788856305 0.24006256086404815
Return on Capital Employed -1.5008700159194401 -1.4796318057187623 -0.7938005154548802 -0.3005567830313743 -1.5461516614598125
Return on Invested Capital 22.39779005524871 -1.881489372859722 -6.426167515681675 6.433271274560116 0
Turnover Ratios
Receivables Turnover Ratio 0.48878923766816146 2.502645502645503 0.4482331060136392 0.09497464269248501 0
Payables Turnover Ratio 1.2140957446808511 0.008626410086264101 0.1502860114404576 0.05782918149466192 1.0123734533183353
Inventory Turnover Ratio 49.351351351351354 0.6046511627906976 7.048780487804878 0.3403141361256545 32.142857142857146
Fixed Asset Turnover Ratio 0.04869332142059415 0.03103674540682415 0.08584659225837094 0.03920822230681385 0
Asset Turnover Ratio 0.012494984811142317 0.010630885757310138 0.011464725750440037 0.0030186246208402327 0
Per Share Items ()
Revenue Per Share 0.006232202784748319 0.007254082426589644 0.011744934144302355 0.011768743952808022 0
Operating Cash Flow Per Share -0.2875103825973113 -0.5982854324390879 -0.5624572611512099 -1.0814104576830246 -0.7603048616820695
Free Cash Flow Per Share -0.290655072075854 -0.6777122672959754 -0.5840952311100076 -1.1035196999633 -0.7772427740359779
Cash & Short Term Investments 0.3335276719666533 0.3575664519575847 0.8169145895555696 3.386370377682988 0.5062937883202263
Earnings Per Share -0.4717415392296343 -0.23432373233797713 -0.15822359414316034 -1.101291636787768 -0.9373463741431591
EBITDA Per Share
EBIT Per Share -0.3863203377579463 -0.6951956794869103 -0.7354960419328262 -0.9714355445317845 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 0.22282367896097616 1.1304968020461972 3.6736410213674136 7.68060185585094 10.139571006465156
Price Per Share 0.2965999999999999 1.0 4.1 10.82 10.48
Effective Tax Rate 0 0.4893040978675045 0.04209284028324154 -0.02151449313761857 -0.007118539151965335
Short Term Coverage Ratio -1.5005968367651448 -5.588968481375358 -70.23123732251521 -49.294270833333336 -31.723557692307693
Capital Expenditure Coverage Ratio 91.42727272727272 7.532535238463024 25.993993993993993 48.912144702842376 44.88775510204081
EBIT Per Revenue -61.98776758409786 -95.83509513742072 -62.62240663900415 -82.54368932038835 0
Days of Sales Outstanding 746.743119266055 145.84566596194503 814.3084370677732 3843.131067961165 0
Days of Inventory Outstanding 7.395947426067908 603.6538461538462 51.78200692041523 1072.5384615384617 11.355555555555556
Days of Payables Outstanding 300.63526834611173 42311.92307692308 2428.702422145329 6311.692307692308 360.5388888888889
Cash Conversion Cycle 453.5037983460112 -41562.423564807286 -1562.6119781571406 -1396.0227781926806 -349.18333333333334
Cash Conversion Ratio 0.6094659017453135 2.5532430132862096 3.5548254620123205 0.9819473984541163 0
Free Cash Flow to Earnings 0.6161320297349708 2.8922049872373847 3.6915811088295682 1.0020231363801422 0

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