DEF.DE Financial Ratios


* All Per Share Items In EUR
Period Ending: LTM
(Last Twelve Months)
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
2015
12-31
2014
12-31
Price Ratios
Price to Earnings Ratio 20.4863770231921 24.393032830819443 34.58256971741787 35.47455054868083 25.84846914323344 27.85358151980441 34.83293710468387 79.2720326603665 0
Price to Sales Ratio 6.257276421817287 8.194479576588767 6.852325627841805 6.5441150342899785 4.795347006916026 6.503617988704509 9.044131141827302 23.34353902379341 0
Price to Book Ratio 2.697747388261637 4.432422901539437 3.4923324452809332 3.00243727260953 2.711794845279224 3.3553289327607274 2.9129849427625283 5.003336547447179 5.396231732501217
Price to Free Cash Flows Ratio -3.2188790521940653 -6.101784030434036 -2.629206603098574 -5.934012125303098 -1.5613168406884617 -1.8385104497337097 -1.9043558770793059 -1.6871127499963483 0
Price to Operating Cash Flow Ratio 10.162332211058386 16.58835048945192 17.458874447532995 19.192711348779437 12.676057328312432 27.909746046018014 18.79100259699617 65.94709840470193 0
Price Earnings to Growth Ratio -11.67723490321961 0.24393032830819444 1.625380776718641 16.318293252393275 1.2278022843035885 1.0445093069926648 0.2663695190358179 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 9.944920246478112 2.737135943432427 12.147173742733562 3.5486374458481857 5.255384533485616 1.011066462807504 0.6272536899130384 59.11629577574764 41.57402556229978
Quick Ratio 7.462784573919639 1.1290627559030386 8.362966352199187 2.8319773025379993 3.387706978781272 0.8437546900763658 0.5419470990685181 57.951526508940425 41.41189181014967
Cash Ratio 2.6426586526190103 0.6914014758222695 7.038804255515251 2.6649287172153606 3.387706978781272 0.8437546900763658 0.5419470990685181 57.951526508940425 41.41189181014967
Debt Ratio 0.7752868903341479 0.8489448112920953 0.8475082400491007 0.7738858445925308 0.790203970753074 0.7772569235402534 0.6264026349634209 0.676050358776313 0
Debt to Equity Ratio 3.7763897058358165 4.785200275707988 4.670747813543181 3.3222555487864973 4.238218739453357 3.816005266510786 1.9581215646845767 2.598655635482543 0
Long Term Debt to Capitalization 0.7906236776807782 0.8179960164213814 0.816328923074761 0.7590388531160682 0.8090954101499861 0.7820416237869191 0.649342642775763 0.7221184516406471 0
Total Debt to Capitalization 0.7906368488362256 0.827145137187559 0.8236564148361972 0.7686393160439676 0.8090954101499861 0.792359031051371 0.6619476319234265 0.7221184516406471 0
Interest Coverage Ratio 3.465052316870349 3.494556414763146 2.6336810611815578 2.6080719014966167 4.129883998961184 2.8417063376567184 2.7913145632248444 4.083443639403651 0
Cash Flow to Debt Ratio 0.07029607675198152 0.055839030361026866 0.04282653300165417 0.04708738533596256 0.050476504087545095 0.03150433026074439 0.07916781101454842 0.02919545799404406 0
Margins
Gross Profit Margin 0.7594459227071063 0.729825922327436 0.7560115054400894 0.763681983108233 0.7502393328420823 0.9893706763040941 0.991876867462283 0.9757122321544447 0
Operating Profit Margin 0.5718900131771213 0.6082028290414394 0.445614173854271 0.40432616881501715 0.6118335842103896 0.4376381410215678 0.45568268991631666 0.46454467370122954 0
Pretax Profit Margin 0.40684488228753785 0.4341599014549743 0.2764159438854708 0.24929740270508036 0.24910383546150414 0.30440965890609656 0.3233787887810397 0.3535665352680858 0
Net Profit Margin 0.30543596921669386 0.33593524976670514 0.19814391133550033 0.18447351504311954 0.1855176405358358 0.23349306027594027 0.25964308190971264 0.29447382942489425 0
Operating Cash Flow Margin 0.6157323232366171 0.49399001918843066 0.3924838138010704 0.3409687623268587 0.37829956765858463 0.2330231875983839 0.48130114905487 0.3539737090560008 0
Free Cash Flow Margin -1.9439302690022406 -1.3429645388491196 -2.6062332339216696 -1.1028145706654953 -3.0713477764074595 -3.537438685565532 -4.749181206455071 -13.83638350421093 0
Return
Return on Assets 0.027034712470739363 0.032237008149864105 0.0183238120222222 0.019715187351531216 0.019560405048003045 0.024536334816634572 0.026752358138089675 0.016419882220720283 0
Return on Equity 0.13168494288705057 0.18170856130440988 0.10098533665420427 0.08463637244647712 0.10491123595182472 0.12046310562880491 0.08362731325262918 0.06311603701249215 0
Return on Capital Employed 0.05097371849048953 0.059196595338568116 0.0413931551860028 0.04432460055475125 0.06513743050966318 0.04857627717972753 0.05109459474099769 0.0259949984671649 0
Return on Invested Capital 0.039055926654381366 0.046265783526440056 0.030688639252231458 0.03542097996470057 0.0838547588847619 0.039173333526802974 0.04308476867170626 0.027257956562253445 0
Turnover Ratios
Receivables Turnover Ratio 2.8461098450771227 15.595590376582964 15.714117917580744 25.474811756799387 0 0 0 0 0
Payables Turnover Ratio 6.655876223020623 4.238004925026205 10.621800213491271 5.2113312608956335 7.605396670426044 0.3294686916111723 0.3707977454729577 1.3878290404755165 0
Inventory Turnover Ratio 2.940394093447895 2.8557784488543763 2.7398528229656574 2.7473659393529704 0 0 0 0 0
Fixed Asset Turnover Ratio 0.09509915023738137 0.09981324472288688 0.09777287956290555 0.11736860803386946 0.11095872152552716 0.11148093024256718 0.10877380049614442 0.07070331940252926 0
Asset Turnover Ratio 0.08851188201596318 0.09596196937431109 0.09247729036294253 0.10687272558840173 0.10543690072548453 0.10508378616322782 0.10303512784289183 0.05576007298437426 0
Per Share Items ()
Revenue Per Share 3.675720625 3.3925278280542988 2.860342760180995 2.5213493212669684 2.498255075747804 1.6390876614392635 1.1709250821257293 0.4536587185518833 0
Operating Cash Flow Per Share 2.26326 1.6758748868778282 1.1226382352941175 0.8597013574660634 0.9450888150562587 0.38194543162175787 0.5635675874842815 0.16058325925140246 None
Free Cash Flow Per Share -7.145344583333333 -4.556044570135747 -7.45472036199095 -2.7805807692307694 -7.6730101717966654 -5.79817210260839 -5.560935394198374 -6.276996009912747 None
Cash & Short Term Investments 0.8647858333333334 0.34364796380090495 0.9675776018099548 1.5789371040723983 0.7733888210499045 0.7010618165194791 0.49942355616456524 1.6678214159551357 1.9712460590846093
Earnings Per Share 1.1226972916666667 1.1396696832579185 0.5667595022624433 0.4651221719457014 0.46347038710940835 0.382715594129988 0.3040225970085077 0.1335906201039634 0
EBITDA Per Share
EBIT Per Share 2.1021079166666663 2.0633450226244343 1.2746092760180994 1.0194475113122172 1.5285163572665772 0.7173272771236682 0.5335702911135364 0.21074474138140253 0
Dividend Per Share 0.51 0.48 0.0 0.0 0.0 0.0 0.0 0.0 0
Enterprise Value Per Share 54.33132104166666 57.4689592760181 44.84603710407239 33.17863552036199 29.929952506572985 22.08252336877413 17.209222017864462 14.42246082945995 0
Price Per Share 23.0 27.8 19.599999999999998 16.5 11.98 10.66 10.59 10.59 0
Dividend Ratios
Dividend Payout Ratio 0.45426314268817264 0.42117466758249394 0 0 0 0 0 0 0
Dividend Yield 0.022173913043478263 0.017266187050359712 0 0 0 0 0 0 None
Effective Tax Rate 0.24798921059197557 0.22614395589946631 0.2819022116104397 0.25573371256336247 -0.2449230580774816 0.23185576798852264 0.19709213212952983 0.16713319827733553 0
Short Term Coverage Ratio 883.5107351984385 0.9188002876209734 0.8841876336421953 0.9084102318909874 0 0.5273455110765644 1.4578496905393457 0 0
Capital Expenditure Coverage Ratio -0.24055214351437432 -0.2689179310544125 -0.13088391053738369 -0.23616338721695468 -0.10966325827749367 -0.06180229251405919 -0.09201850161063128 -0.024944665150857626 0
EBIT Per Revenue 0.5718900131771213 0.6082028290414394 0.445614173854271 0.40432616881501715 0.6118335842103896 0.4376381410215678 0.45568268991631666 0.46454467370122954 0
Days of Sales Outstanding 128.24522589363005 23.404051477785256 23.22752075009205 14.327878199240441 0 0 0 0 0
Days of Inventory Outstanding 124.13302040475885 127.81103525255025 133.21883458138404 132.85452613784707 0 0 0 0 0
Days of Payables Outstanding 54.83876018270555 86.12543082350078 34.36328990036883 70.03968501078747 47.992237067570755 1107.8442634869855 984.3641296535862 263.00069342470226 0
Cash Conversion Cycle 197.53948611568333 65.08965590683474 122.08306543110727 77.14271932630005 -47.992237067570755 -1107.8442634869855 -984.3641296535862 -263.00069342470226 0
Cash Conversion Ratio 2.015912941804772 1.4704917674804558 1.9808017877294788 1.8483345007393575 2.0391568508845377 0.9979876375040821 1.8537029583643438 1.2020548982139074 0
Free Cash Flow to Earnings -6.36444448238218 -3.9976886610790614 -13.153234012367683 -5.978172912288895 -16.555556482587853 -15.150080612181856 -18.29119101315603 -46.98680195531573 0

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