CNEY Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
09-30
2022
09-30
2021
09-30
2020
09-30
2019
09-30
2018
09-30
Price Ratios
Price to Earnings Ratio -1.1489385440848672 20.496924664574912 107.90732296584284 56.508731687969394 79.44539240633836 1708.0950046652474
Price to Sales Ratio 0.11163610438753656 1.1367116226088583 7.048284073887331 10.620122161080587 12.163589825692517 329.8468586693149
Price to Book Ratio 0.062412998207435344 0.7165332430805361 2.231797640777402 5.731453329827845 7.362904436764671 156.6354763068816
Price to Free Cash Flows Ratio -0.2096385527221881 -3.9985393246532084 -8.864570124859075 -72.07870604286208 -101.02325426070408 -914.5617515068802
Price to Operating Cash Flow Ratio -0.21439048333628755 -6.081766341048029 -12.06641116342877 -72.84573349342904 892.0154759660697 -915.1663335640878
Price Earnings to Growth Ratio 0.005716940581678325 0.032242353404949305 -1.2513967112008393 1.3934539518510636 0.0383794166214195 0
EV to EBITDA
Liquidity Ratios
Current Ratio 3.2164398409266766 2.43640930886803 8.66326352320243 1.9083111684002694 1.6075162075009821 1.6976257548905744
Quick Ratio 1.2967257687303102 1.2122722053327977 6.524000038276725 1.3366978598345451 0.9217404879001445 0.7105851886555969
Cash Ratio 0.008679446973494483 0.5924479049544912 0.03380366450025128 0.20380509916779277 0.25059833567763784 0.25953923351172303
Debt Ratio 0.05775175069623476 0.044252108279474414 0.023112303181090654 0.05560376100687457 0.011451301130527716 0.00712937877807483
Debt to Equity Ratio 0.07037309565956254 0.06587056734180563 0.025429541323537128 0.07562694972178007 0.015413423260435752 0.010187086408194363
Long Term Debt to Capitalization 0.0003307640702147273 0.006808161185450977 0.0008669075083142399 0.00282897913993444 0 0
Total Debt to Capitalization 0.06574632335671585 0.06179978072392172 0.02479891625778095 0.07030964568277284 0.015179455882062412 0.010084356200211796
Interest Coverage Ratio -8.67158837317015 17.180923667957842 8.695048293389531 72.35892528258279 272.1159774149245 0
Cash Flow to Debt Ratio -4.1367843968059805 -1.7886081661778588 -7.273411644541649 -1.0403609809723127 0.5355224354121151 -16.801192465003744
Margins
Gross Profit Margin 0.013621110768292479 0.09057549863842303 0.1318398455861239 0.26924530754836723 0.27285782165769285 0.22460048811551547
Operating Profit Margin -0.10671012894570928 0.06718474393085577 0.08377762978952756 0.1605995969642957 0.1636967918595552 0.13041104991301836
Pretax Profit Margin -0.10100092063613567 0.06327431715583004 0.08735405355823203 0.20157307679175115 0.16309522192083034 0.2070266983047446
Net Profit Margin -0.09716455676613672 0.05545766700179423 0.06531794024876705 0.18793771942578552 0.15310629675638776 0.1931080283991336
Operating Cash Flow Margin -0.5207138985382431 -0.1869048494903171 -0.5841243082491234 -0.14578921306405082 0.013636074881457766 -0.3604228505486387
Free Cash Flow Margin -0.5325170534614219 -0.28428171647591455 -0.7951072612220305 -0.14734063281831478 -0.12040386062304763 -0.36066111241350496
Return
Return on Assets -0.04457965928377225 0.023484980367777034 0.01879786796250867 0.07457217056802184 0.06885511057672201 0.06417705862917066
Return on Equity -0.05432231212779747 0.03495808541068258 0.020682541086519762 0.1014259771653672 0.0926788101077746 0.09170185257791266
Return on Capital Employed -0.05959669439280783 0.041891870976234646 0.026259118284604567 0.08440377461003255 0.09908948364248553 0.061928729596558166
Return on Invested Capital -0.057441329002381025 0.05098707387425065 0.019694270057346752 0.08426744806722425 0.10185186129220031 0.06500061904091885
Turnover Ratios
Receivables Turnover Ratio 1.9956351778552315 2.129443038930715 0.5919342015407529 1.4295626949901483 2.606752855168618 2.4547808077844944
Payables Turnover Ratio 4.545055585571841 4.883449603255852 9.698330430827873 1.8875605317477242 2.0067596480351773 1.0293984275076566
Inventory Turnover Ratio 1.3695528594714248 46.622758530113444 15.430866378951347 3.2450088696404875 3.231957822734545 2.3672036668076415
Fixed Asset Turnover Ratio 1.258881170263771 2.0182654755735707 1.039458683251424 0.8144462521760071 0.8502726912181259 0.7194525041178574
Asset Turnover Ratio 0.4588057699997548 0.42347580843992627 0.2877902746307665 0.39679193083679803 0.4497209588073281 0.3323375996389107
Per Share Items ()
Revenue Per Share 32.113266757812816 55.68694710336527 25.79351202281098 16.214502751301573 14.157004837196245 0.5220604516129033
Operating Cash Flow Per Share -16.721824328259284 -10.408160466929735 -15.06661736763991 -2.3638995963371428 0.1930459780571678 -0.18816251612903226
Free Cash Flow Per Share -17.100862190891114 -15.830780907848137 -20.50860870175475 -2.3890550962110795 -1.704558037257588 -0.18828690322580646
Cash & Short Term Investments 0.10843360797353249 24.995909932644775 4.271545797409591 2.040453360434802 2.027847018795146 0.12237432258064516
Earnings Per Share -3.120271330835595 3.0882681688049605 1.684779077111822 3.0473166687027424 2.1675265837853854 0.10081406451612905
EBITDA Per Share
EBIT Per Share -3.4268108365941647 3.741313281430706 2.1609193012187866 2.6040426068354967 2.31745627418923 0.06808245161290323
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 7.51879405590236 44.123229588098496 179.59991916345876 172.43173834953095 170.53263456944794 172.0888250322581
Price Per Share 3.5849999999999995 63.3 181.8 172.2 172.2 172.20000000000002
Effective Tax Rate 0.03798345446592276 0.12353590691125445 0.2522620578193918 0.0676447350161379 0.06124597058576862 0.0672312799246917
Short Term Coverage Ratio -4.156326215109497 -1.9963596137359694 -7.530348233499814 -1.0809092913372724 0.5355224354121151 -16.801192465003744
Capital Expenditure Coverage Ratio 44.11650121745645 1.9193968267428572 2.7685853289015854 93.97148171109734 -0.10173143421871779 1512.7173236514523
EBIT Per Revenue -0.10671012894570928 0.06718474393085577 0.08377762978952756 0.1605995969642957 0.1636967918595552 0.13041104991301836
Days of Sales Outstanding 182.89916115443322 171.40632237022984 616.6225892167355 255.32283493345872 140.02094570503115 148.68944666771378
Days of Inventory Outstanding 266.51034129553113 7.828794595331549 23.653888967497153 112.48043215377655 112.93464210222123 154.19036609225557
Days of Payables Outstanding 80.30704864395561 74.74224772518393 37.63534379482291 193.37128206534405 181.88525983037994 354.5760225063926
Cash Conversion Cycle 369.1024538060087 104.49286924037746 602.6411343894098 174.43198502189122 71.07032797687245 -51.69620974642322
Cash Conversion Ratio 5.359093025984137 -3.3702256080168347 -8.942785183128144 -0.7757315216417816 0.08906279604655681 -1.8664312071152387
Free Cash Flow to Earnings 5.480568956261754 -5.126103059234662 -12.172877132895184 -0.7839864890799525 -0.7864069811225726 -1.8676650339366372

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