DKNG 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
2018
12-31
2017
12-31
Price Ratios
Price to Earnings Ratio -20.328837973825085 -3.615673038603963 -7.245796608325638 -16.86422024785944 -13.885291202418193 -23.7353634216741 -23.943954153210864
Price to Sales Ratio 4.448803920889247 2.219133950557497 8.531050897937925 23.153245201226298 6.1075789245848915 7.995109533889879 9.430106753403809
Price to Book Ratio 19.40556743614826 3.758909338750564 6.586994819270218 5.276056109691934 -6.414176606018489 -9.766985374702392 0
Price to Free Cash Flows Ratio -141.62915812604226 -6.818607432621468 -21.35341231092502 -36.90217905392262 -16.30405114278875 -25.039229906852505 -18.815099009900994
Price to Operating Cash Flow Ratio -9312.744003426615 -7.9484125502183 -26.355767327440716 -42.111461576026635 -25.04122844827586 -39.69173084095746 -20.456476361703814
Price Earnings to Growth Ratio 0.4509566170249931 0.2141156377548284 -0.19415921008717238 -0.06525351553191844 -0.15813803869420717 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.3366935119577703 1.672613656146983 2.9624014847889826 3.9578959329884635 1.0237886153363651 1.3380269470245993 0
Quick Ratio 1.052846504304281 1.2197388277333274 2.4216101352987063 3.4126768540363486 0.3777677591343892 0.7106359089517199 0
Cash Ratio 0.8274305958880241 1.0503146117355031 2.31636979853135 3.277811447082675 0.3000352830484554 0.6017556394814739 0
Debt Ratio 0.32073560927037825 0.327880733200137 0.32405738532838346 0.023729047148440874 0.22711618414090257 0.012525342943889803 0
Debt to Equity Ratio 1.5057122048396656 1.0015082865033684 0.785573431006215 0.030262656811489517 -0.24391218083396385 -0.020245428582226135 0
Long Term Debt to Capitalization 0.5987203841712725 0.4995728545874434 0.4375511213438501 0.024868345118753354 -0.2853356595488923 0 0
Total Debt to Capitalization 0.6009118692607447 0.5003767874741112 0.43995582447904413 0.029373729710002263 -0.3225976859447341 -0.020663775574866237 0
Interest Coverage Ratio -280.57670772676374 -80.8339215057213 -797.9647419519673 788.0897196261682 0 0 0
Cash Flow to Debt Ratio -0.001383906378061725 -0.4722010012923798 -0.31814483011238376 -4.140016174092045 -1.050151105667461 -12.1544 0
Margins
Gross Profit Margin 0.3746441377500312 0.33751446688873404 0.38723249937308307 0.4360114688901473 0.678769982375313 0.7848256782615998 0.8345009486874753
Operating Profit Margin -0.20507077958625447 -0.67475220501495 -1.2049281456762022 -1.3721921722546588 -0.4531245168671346 -0.3393230421121015 -0.38154959237713976
Pretax Profit Margin -0.21587125855262995 -0.6440451317831464 -1.1709990162226809 -1.373933334635137 -0.4396802819949909 -0.33637974694732564 -0.3927461896123934
Net Profit Margin -0.21884201775907794 -0.6137540443685474 -1.1773792943808954 -1.372921182298074 -0.4398596209146285 -0.33684377996879933 -0.3938408290069014
Operating Cash Flow Margin -0.00047771139411244577 -0.2791920948411956 -0.3236882004590961 -0.5498086348636035 -0.2439009307071519 -0.20143010557856078 -0.46098392443860636
Free Cash Flow Margin -0.03141163853371248 -0.3254526635366561 -0.3995169846260681 -0.6274221684143381 -0.37460499056924645 -0.31930333175709413 -0.5011988907654136
Return
Return on Assets -0.20333821224852758 -0.3403565014385597 -0.3750043621932764 -0.24531064053482526 -0.43013077330108096 -0.25458177044887487 0
Return on Equity -0.9545832113539592 -1.0396153907218078 -0.9090780731688718 -0.3128550287026534 0.46194037363086987 0.41149508440994026 0
Return on Capital Employed -0.3138153659373609 -0.5411313690291889 -0.49738902271574126 -0.2922981839685509 -1.93727278736202 -0.7421824403352247 0
Return on Invested Capital -0.6840042785190174 -0.970449265085497 -1.5912300747522805 -0.7892358779816732 165.09546563430828 5.3190535275944715 0
Turnover Ratios
Receivables Turnover Ratio 10.493268137952358 10.609248034851785 13.250028114872256 8.218854903639112 16.310772644744805 10.606402924908597 0
Payables Turnover Ratio 67.16602689952238 146.26261332282223 15.116241886670347 12.34467160564183 6.251594656396678 4.187940822294856 0
Inventory Turnover Ratio 0 3.160360947337715 1.6650843903973163 1.20461354520746 0.7214513888888889 0.435898583680997 0
Fixed Asset Turnover Ratio 23.696618825963277 17.77311417669504 11.798133818843878 5.6428781311981195 12.465214877625748 16.04573819316409 0
Asset Turnover Ratio 0.9291552615475406 0.5545486902472976 0.31850769245136584 0.17867787582984937 0.9778819260715096 0.7557858734172141 0
Per Share Items ()
Revenue Per Share 7.923478001465631 5.132632934185235 3.220001888236288 2.0109492036794037 1.751921691413466 1.225749310682925 1.0392247146579416
Operating Cash Flow Per Share -0.0037851357222994427 -1.4329905409460886 -1.0422766166780955 -1.1056372364550235 -0.42729533106179207 -0.2469028130637097 -0.4790658873366088
Free Cash Flow Per Share -0.24888942691186103 -1.6704290593865474 -1.2864454448784075 -1.2617141099436178 -0.6562786086899997 -0.3913858388000195 -0.5208582742425638
Cash & Short Term Investments 2.7717375091602015 2.9991592461163816 5.348906313665862 5.94666108189651 0.41458156151308484 0.638711180208339 None
Earnings Per Share -1.7339899135104053 -3.150174221615392 -3.7911635510767914 -2.760874758256897 -0.7705996110572418 -0.4128860311045866 -0.40928912314534444
EBITDA Per Share
EBIT Per Share -1.6248738107950946 -3.46325538987384 -3.8798709042664203 -2.7594087560906173 -0.7938386700107801 -0.41592498496774155 -0.396515766265987
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 35.21337216466097 11.42554533312868 25.39720103753615 40.88040000916251 10.69230781731608 9.181602682513285 0
Price Per Share 35.25 11.389999999999999 27.47 46.559999999999995 10.700000000000001 9.8 9.800000000000002
Effective Tax Rate -0.012853031836846116 0.04703255396206958 -0.005448576873100674 0.0007366822767509232 -0.00040788483582635356 -0.0013794915588254614 -0.0027871419849759774
Short Term Coverage Ratio -0.15227411079224282 -147.07712203150717 -32.738255033557046 -26.320401963075486 -11.685925925925925 -12.1544 0
Capital Expenditure Coverage Ratio 0.015442959827137628 6.035206715229871 4.2686719036183804 7.083927373364642 1.866054742021717 1.708870725854829 11.46299416720674
EBIT Per Revenue -0.20507077958625447 -0.67475220501495 -1.2049281456762022 -1.3721921722546588 -0.4531245168671346 -0.3393230421121015 -0.38154959237713976
Days of Sales Outstanding 34.78420595008503 34.40394633068819 27.547111359734572 44.41007954020295 22.377848551374417 34.413175002320166 None
Days of Inventory Outstanding 0 115.49313704419605 219.20810867304152 303.0017398128619 505.9245925940186 837.3507363059418 None
Days of Payables Outstanding 5.434294938213705 2.495511270500777 24.146213241127125 29.567412699191262 58.385103331440284 87.1550042103966 None
Cash Conversion Cycle 29.349911011871328 147.40157210438346 222.60900679164897 317.8444066538736 469.9173378139527 784.6089070978654 0
Cash Conversion Ratio 0.002182905271136532 0.4548924726491027 0.2749226200969518 0.400466277272598 0.5544972057221187 0.5979926528470217 1.17048282068929
Free Cash Flow to Earnings 0.14353568320821003 0.5302656113190972 0.3393273404184904 0.45699795188833997 0.8516466908017293 0.9479270532668589 1.2725925141616814

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