DCFC Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
Price Ratios
Price to Earnings Ratio -279.1253553431655 -1210.8595057932614 -3378.066164331452 -5777.514878041997
Price to Sales Ratio 183.57380558565978 1799.788633061838 3795.2339056573537 4422.715992250208
Price to Book Ratio -235.8250278653719 -3809.210098350144 -3329.7236351706038 -53236.94193746797
Price to Free Cash Flows Ratio -198.7681335508135 -1645.5862296964726 -6083.836219456497 -4976.177924062762
Price to Operating Cash Flow Ratio -208.5664247860617 -1778.6695103408567 -6565.894961182995 -5137.267470570779
Price Earnings to Growth Ratio 12.257243865069443 -16.332523566513757 -44.59047336917518 0
EV to EBITDA
Liquidity Ratios
Current Ratio 0.9195780888522919 1.3154935212144112 0.7792309802259183 2.7759940157661545
Quick Ratio 0.2864251264557111 0.7505611984086413 0.25233773034436324 1.1278554577363484
Cash Ratio 0.11536289848253146 0.5241778350706406 0.07676483056130463 0.4431785488232925
Debt Ratio 0.8031114632090007 0.5526891800051558 1.1489243027888447 0.7592270759079797
Debt to Equity Ratio -1.5383871080018099 -2.9080618510937386 -1.576881014873141 -13.211173757047668
Long Term Debt to Capitalization 13.893107162089391 1.553373546590971 -23.742172400463858 1.086123557066237
Total Debt to Capitalization 2.8573996017687673 1.5240920253328163 2.7334597156398104 1.0818922095366017
Interest Coverage Ratio -3.1612331571389287 -5.122518747243053 -5.296343735444807 -22.79045092838196
Cash Flow to Debt Ratio -0.7349873527694946 -0.7364377242005106 -0.32159947688070306 -0.7844034917555771
Margins
Gross Profit Margin -0.022124804924570834 -0.003961734307453887 -0.03390494506472924 -0.020737081905086333
Operating Profit Margin -0.5606467834229235 -1.0825089430325912 -0.8099613583346689 -0.7317166641827588
Pretax Profit Margin -0.6576751343852957 -1.4861397560037752 -1.1232971846786688 -0.7333347527092338
Net Profit Margin -0.6576751343852957 -1.4863727991983313 -1.1234930640881813 -0.7655049074921757
Operating Cash Flow Margin -0.8801694988728975 -1.0118735507626337 -0.5780223302526845 -0.8609082586386766
Free Cash Flow Margin -0.9235575255765562 -1.0937066685310122 -0.6238224976405435 -0.8887777044433562
Return
Return on Assets -0.4410631741140216 -0.5978861521876684 -0.7181787137165623 -0.5295443164747121
Return on Equity 0.844871393268595 3.145872894522676 0.9856892888388952 9.214505381855458
Return on Capital Employed -5.135709321949767 -1.1853373481678064 -5.950418628990057 -0.6802985015538708
Return on Invested Capital 14.164933529980162 -12.18897652680747 -30.593767066301222 -0.837883691257997
Turnover Ratios
Receivables Turnover Ratio 4.230137991106221 2.8085545046961418 3.987856838517256 3.947306496344231
Payables Turnover Ratio 3.214064203925845 1.809990966955864 5.286924057548716 8.633711507293356
Inventory Turnover Ratio 1.3445409897997733 1.546709510645173 1.5937688718089487 1.902349019919054
Fixed Asset Turnover Ratio 4.539157811885085 2.3978374451677795 2.3396800266644444 2.4844750066120076
Asset Turnover Ratio 0.6706398813850045 0.40224508448360713 0.6392373363688105 0.6917582255736546
Per Share Items ()
Revenue Per Share 1.1875332611017653 0.676746134310179 0.5201260446839556 0.43502680329719734
Operating Cash Flow Per Share -1.0452305553188384 -0.6847815138893271 -0.30064446837333186 -0.37451816768774027
Free Cash Flow Per Share -1.0967552801630047 -0.7401617599976268 -0.3244663282826421 -0.3866421236058145
Cash & Short Term Investments 0.18932295861623805 0.5579266058522749 0.05702612420747395 0.07133591175019724
Earnings Per Share -0.7810110970821119 -1.0058970460012708 -0.5843580036540437 -0.33301515281463795
EBITDA Per Share
EBIT Per Share -0.6657867030444394 -0.7325837425535039 -0.4212819976574554 -0.31831636133871444
Dividend Per Share 0.0 0.0 0.0 0.0
Enterprise Value Per Share 219.2327838999308 1218.3719300424243 1974.8778151612617 1924.4061201062611
Price Per Share 218.0 1218.0000000000002 1974.0 1924.0
Effective Tax Rate -0.269811320754717 -0.00015681108968026219 -0.00017437897306637497 -0.04386830797816746
Short Term Coverage Ratio -2.4536253776435046 -21.21152906692721 -0.8215225754201255 -17.27296027338744
Capital Expenditure Coverage Ratio 20.285999750218558 12.365086145521857 12.620528771384137 30.89075630252101
EBIT Per Revenue -0.5606467834229235 -1.0825089430325912 -0.8099613583346689 -0.7317166641827588
Days of Sales Outstanding 86.28560126582279 129.96009135293227 91.52785939419842 92.46811726883689
Days of Inventory Outstanding 271.46810901938744 235.98484233005652 229.01689602314806 191.8680516446614
Days of Payables Outstanding 113.56338170039284 201.65846496674828 69.03825287197947 42.27614041674489
Cash Conversion Cycle 244.1903285848174 164.2864687162405 251.50650254536703 242.0600284967534
Cash Conversion Ratio 1.3383043585729586 0.6807669995766764 0.5144867812083941 1.1246280072312613
Free Cash Flow to Earnings 1.4042761802751915 0.7358225803922799 0.5552526469282952 1.161034626616604

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