CMRA Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
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
Price Ratios
Price to Earnings Ratio -0.7820750284625003 -1.652061044579986 -0.05500440497904934 -1.1022244134045835 -1.7825187519674366 -0.3785114549599022
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Price to Sales Ratio 49.427440147458 29.608575159892716 43.54900923609433 82.35214777094544 109.8179723908361 146.50362662377495
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Price to Book Ratio -1.5963254451616142 -1.46894454946033 -3.2500600139339357 -2.0580496560957684 -7.5258452459854235 -11.994946160297621
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Price to Free Cash Flows Ratio -3.5200396057424443 -9.336237440111775 -8.5807267862077 -0.4225100638811957 -10.68446137987473 -8.055532761743372
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Price to Operating Cash Flow Ratio -3.520039605742445 -9.389332137899935 -8.978563478870461 -6.958033273693746 -10.796938243322083 -8.065970153958146
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Price Earnings to Growth Ratio -0.02955842543471091 0.016823767328964824 -0.000040423184761506085 -0.050702323016610824 0.020540282307439334 -0.0004098531677909769
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.8970396113243025 0.46136669748289194 0.7175624236033098 0.6055130565629545 1.2503867984458676 2.143839350593881
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Quick Ratio 0.6369724108321492 0.1837090509909461 0.5327203615118952 0.0950696248548535 0.8638790162681289 2.015838149281312
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Cash Ratio 0.6028708721366217 0.12047466261292081 0.4586120325327323 0.08828524900359422 0.7782189400192007 1.9568034625695252
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Debt Ratio 0.05585900026335073 0.3447131236507402 0.0904162791915087 0.20794861867617107 0.2588499487251573 0.06741175144564204
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Debt to Equity Ratio -0.040656759391195854 -0.12703023859112283 -0.0515056096628884 -0.12406548459058045 -0.3728033890235962 -0.23061427537513693
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Long Term Debt to Capitalization 0 0 -0.010298828958920014 -0.019635417329738628 -0.05269480643112726 -0.14130620303146096
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Total Debt to Capitalization -0.04237978407540023 -0.14551505012740648 -0.05430249265320631 -0.14163785352446254 -0.5943963702916464 -0.2997381781259066
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Interest Coverage Ratio -361.62129086336967 -372.1986421926075 -328.2299816224731 -394.99619322656866 -199.70029930686832 -0.7771108999896525
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Cash Flow to Debt Ratio -11.15426933028742 -1.231582718473561 -7.02797148641622 -2.3840665352339467 -1.8697124274143506 -6.448452498191294
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Margins
Gross Profit Margin 0.6921649182011591 0.8221262954087382 0.7034498555667257 0.6774276197796567 0.7404968457615719 0.6282662922726715
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Operating Profit Margin -15.824745066392781 -4.698335211312311 -6.363859867910362 -19.274154496541122 -10.792497084138565 -27.076912067390918
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Pretax Profit Margin -15.800095370845867 -4.48055101490216 -6.315136861662191 -18.97638995644376 -13.097287610355778 -61.91995965268596
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Net Profit Margin -15.800095370845867 -4.48055101490216 -197.93418932848073 -18.6786254163464 -15.40207813657299 -96.763007237981
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Operating Cash Flow Margin -14.04172841317585 -3.153427179381378 -4.850331496634132 -11.83554957724827 -10.171214275376508 -18.163174897427858
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Free Cash Flow Margin -14.04172841317585 -3.1713605560933806 -5.075212196022041 -194.91168332052266 -10.278288112650158 -18.1867085588103
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Return
Return on Assets -0.7010894386593006 -0.603212071591319 -25.931403142991755 -0.7824036995926874 -0.7328741721639686 -2.315840837546714
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Return on Equity 0.5102852626236731 0.2222896899420852 14.771816980712059 0.4667946089441993 1.0555071633438429 7.922445941278259
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Return on Capital Employed -15.459549917580448 0.9174778553998363 7.0256473655817295 2.259801031715217 -1.682369654912484 -1.1015110233253604
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Return on Invested Capital 1.3142313233679246 0.7103517572402496 41.366577474313836 1.6656757023892284 2.5651890130032076 4.660922450010127
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Turnover Ratios
Receivables Turnover Ratio 1.3631 1.26022 1.580288374524906 4.548951048951049 0.7995412172717403 0.9847514731741366
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Payables Turnover Ratio 0.03665285957118224 0.026055736214032715 0.06574870484886752 0.0345341422386984 0.04243289445476135 0.038256218397746
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Inventory Turnover Ratio -0.41961 0.05394234406629402 0.21775263596574834 0.020069478014237533 0.04784177206746174 0.18691527932941748
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Fixed Asset Turnover Ratio 0.39141084211765587 0.7449200592048952 0.7882262076713208 0.2735036745705702 0.423289747040943 0.23415541845270962
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Asset Turnover Ratio 0.04437248144419064 0.13462899308255974 0.13101022734358145 0.04188764869753077 0.04758281094703207 0.02393312179571978
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Per Share Items ()
Revenue Per Share 0.005897533821908668 0.016447937712979924 0.020643408788618093 0.014935858180907757 0.014660623984843748 0.01802003172781236
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Operating Cash Flow Per Share -0.08281156823476052 -0.05186737382888287 -0.10012737584532819 -0.17677408997888297 -0.1491163479605699 -0.32730098792945506
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Free Cash Flow Per Share -0.08281156823476052 -0.052162340892025295 -0.10476968005146312 -2.911173259877331 -0.15068611722745323 -0.3277250652542382
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Cash & Short Term Investments 0.07648795479229462 0.02486608886882533 0.08083947638250918 0.042726484848838536 0.16658463352278027 0.6065531429803781
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Earnings Per Share -0.3727263873557843 -0.29478329605175885 -16.344145534206227 -1.115925200931396 -0.9032163045819178 -6.9746898420278205
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EBITDA Per Share
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EBIT Per Share -0.09332696925213375 -0.07727792491036527 -0.13137176072675474 -0.28787603811724377 -0.15822474160807806 -0.48792681454556974
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Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 0.22243624896167966 0.5042483164820128 0.832407504561972 1.261421651273351 1.5231689937057584 2.084203373877157
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Price Per Share 0.2914999999999999 0.487 0.8990000000000001 1.23 1.6100000000000003 2.6400000000000006
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Effective Tax Rate 0.00790681758137466 -0.0028173304430370778 -30.342818637881894 0.01569131646118233 -0.175974644123632 -0.562711083481522
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Short Term Coverage Ratio -11.15426933028742 -1.231582718473561 -8.762151724137931 -2.822111169827689 -2.1596996322230124 -13.923772204806687
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Capital Expenditure Coverage Ratio 0 175.8412389380531 21.568465012053103 0.06464823860572197 94.99252603959609 771.7955401100493
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EBIT Per Revenue -15.824745066392781 -4.698335211312311 -6.363859867910362 -19.274154496541122 -10.792497084138565 -27.076912067390918
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Days of Sales Outstanding 66.02597021495122 71.4161019504531 56.95163075983355 19.784780937740198 112.56455334110896 91.39361803633984
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Days of Inventory Outstanding -214.48487881604345 1668.4480728051392 413.31302191058967 4484.421564733916 1881.2012204123812 481.5015675705407
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Days of Payables Outstanding 2455.470079359405 3454.133832976446 1368.8482565075224 2606.11656076251 2120.99601397569 2352.5587151421814
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Cash Conversion Cycle -2603.9289879604976 -1714.2696582208534 -898.5836038370992 1898.0897849091461 -127.23024022219988 -1779.6635295353008
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Cash Conversion Ratio 0.8887116237972504 0.7038034315183974 0.02450476854498738 0.6336413581531817 0.6603793452537071 0.18770783810756272
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Free Cash Flow to Earnings 0.8887116237972504 0.7078059251073235 0.02564090727953773 10.43501215833301 0.6673312537120467 0.18795104738819784
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