ERO 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
2016
12-31
Price Ratios
Price to Earnings Ratio 16.012470830136632 12.25914965727529 6.7381744685729625 27.13760872689938 16.90245675269201 -192.56881949381935 14.928182960740674 0
Price to Sales Ratio 3.476235947693459 2.9277319198061877 2.765235176367329 4.322744164023253 5.45229629588089 2.606356043426782 2.262373826377318 0
Price to Book Ratio 1.8477107154740442 2.317824009175777 3.446650718419974 6.5861677442255155 7.834854854419518 5.868618757635763 2.580037990876151 84.8436730875454
Price to Free Cash Flows Ratio -4.994190364375735 -8.189574886999534 7.412699807559723 31.109627538806595 72.04715317348304 -33.327187356171144 -9.076251208248761 -157.084101603766
Price to Operating Cash Flow Ratio 9.111161582351823 8.706299560277852 3.715773628469317 8.603067102071396 12.149326713663461 7.325053959429481 15.79208731911287 -160.7229764344954
Price Earnings to Growth Ratio -2.161683562068442 -0.2357528780245248 0.026204011822228184 -0.6351355233955173 -0.00558660666228217 1.760226869230524 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.1477963176064443 3.039219027114102 1.7013370291863688 1.3905473179241168 0.9389172599744039 0.8454990458806936 1.7691751608472492 0.293898717083052
Quick Ratio 0.8055983889528193 2.7120298015040154 1.4343877384640469 1.0555931094635849 0.5719859345684074 0.4770928399568572 0.9842044386611726 0.10167184334908845
Cash Ratio 0.6429113924050633 1.3762439881971174 1.060891896298712 0.6815089402529437 0.26695741852114163 0.31429519621670954 0.9234800838574424 0.09894935854152599
Debt Ratio 0.29492593709813136 0.3611048451445867 0.09620709752059406 0.3416824415257323 0.35233447308472055 0.42235718110415355 0.36493655318178125 0.5098960544731173
Debt to Equity Ratio 0.5543500155424308 0.7965584338423147 0.16883047496927928 0.7985312854073521 0.8223869076746896 1.4704905048007264 1.070598281393041 6.5430623940592465
Long Term Debt to Capitalization 0.3400803637291593 0.4304748087631624 0.12724208525586084 0.42296235608173366 0.4154369264161181 0.5777172272575237 0.5067841884395607 0.6854186504157939
Total Debt to Capitalization 0.35664426287471424 0.44338019784789773 0.14444393655437218 0.4439907672923752 0.4512691043879537 0.5952220832030028 0.5170477977373632 0.8674278498892468
Interest Coverage Ratio 7.0847683155917345 5.997491243018082 47.22880143112701 15.18206896551724 8.047060851577314 3.0894754426996323 -0.4956402019274897 0
Cash Flow to Debt Ratio 0.36582734458410715 0.33421751899678337 5.4941078963230865 0.9587106270238446 0.7841561564509005 0.5448322976470433 0.15260192863199346 -0.08067898645481236
Margins
Gross Profit Margin 0.36690605408440163 0.43897399575977036 0.6508435136707388 0.5805335785433047 0.41097727520072463 0.3527423264194247 0.12147111797680804 0
Operating Profit Margin 0.21174090015907177 0.2971514474943245 0.5388873580110836 0.4754995741739592 0.3277665240149837 0.1983398039510092 -0.050998036980322584 0
Pretax Profit Margin 0.2628216524749696 0.2964009643708137 0.48359409285284183 0.18953270220565546 0.26270261161411723 0.011415456553913473 0.013127272481971925 0
Net Profit Margin 0.21709553663329278 0.23882014671945065 0.41038343386097587 0.1592897962206396 0.32257418999238174 -0.013534673215932734 0.15155051571427608 0
Operating Cash Flow Margin 0.381535978291382 0.3362774160866058 0.7441882775583519 0.5024654710623434 0.44877353489466126 0.3558139036056713 0.14325996181893 0
Free Cash Flow Margin -0.696055955834191 -0.3574949811441115 0.37304022126287206 0.13895197422826744 0.07567677632941655 -0.07820510070569058 -0.24926302439945766 0.0
Return
Return on Assets 0.06139097485724568 0.08571084678084567 0.29148169948474983 0.1038465174945031 0.1985912327038044 -0.00875321482969379 0.058912842244383666 0
Return on Equity 0.11539198010568853 0.18906890559087397 0.5115110531042572 0.2426952135136787 0.46353349510399905 -0.030475436122326758 0.17283000869304327 0
Return on Capital Employed 0.06765514004161784 0.11964908801601579 0.4655405905815885 0.3801331593397783 0.24427972254855532 0.1540239994136734 -0.02318940158460911 0
Return on Invested Capital 0.06196267024563884 0.11725119144213846 0.5167380426628847 0.3841297842477398 0.31979733009762173 -0.18478500562936195 -0.25847654040034174 0
Turnover Ratios
Receivables Turnover Ratio 15.11865605658709 13.008481298431875 10.693798703424791 9.44525079420594 11.603038820318547 23.75955560085618 44.119345238095235 0
Payables Turnover Ratio 3.6143942732748373 5.572127367170576 7.123813093453274 9.388052486187846 7.692402915959836 7.938075445888357 9.769259620433576 0
Inventory Turnover Ratio 6.404955743834903 7.727895331933452 6.574311080364349 5.331777533730781 8.658667492387883 10.302424035506998 15.36140599197924 0
Fixed Asset Turnover Ratio 0.3334649053695432 0.5530663069419944 1.02607306069961 0.9135952819922983 0.7795502936556156 0.7608685008502875 0.5281852483957514 0
Asset Turnover Ratio 0.282783219817846 0.35889286543958465 0.710266729683572 0.6519345241088798 0.615645141071251 0.6467252433837626 0.3887340268472215 0
Per Share Items ()
Revenue Per Share 4.54226935040958 4.696468247991173 5.529366952465277 3.752246116018988 3.341491183038598 2.7774409479689943 2.6352850844048175 0
Operating Cash Flow Per Share 1.7330391802714795 1.57931620716726 4.114890068343208 1.885374112227329 1.4995728100315755 0.9882521057310841 0.3775308405738298 -0.26953582469060255
Free Cash Flow Per Share -3.16167363435569 -1.678963827759523 2.06267627139126 0.521382005611187 0.2528732808655295 -0.21721004904002392 -0.6568791302935247 -0.2757796591616463
Cash & Short Term Investments 1.187293189566917 3.496004650295724 1.468685368191123 0.7237357910493677 0.25204038037650317 0.22568159840192503 0.9083708099845343 0.3774737948533989
Earnings Per Share 0.9861064021601258 1.1216112360484933 2.2691605970301 0.597694519190351 1.0778788117353615 -0.03759175560731077 0.3993788135956896 0
EBITDA Per Share
EBIT Per Share 0.9617842010206866 1.395562338001711 2.9797059484878097 1.7841914303629212 1.0952289500912769 0.5508770931056755 -0.1343943661881694 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 19.34002130025531 14.979409540761267 14.570278821445028 17.462836873405344 19.87909914242806 8.827183163285348 7.527587703896787 46.283969174729116
Price Per Share 15.789999999999997 13.75 15.29 16.22 18.2188 7.238999999999999 5.962 43.320600000000006
Effective Tax Rate 0.16063052398287508 0.1844868376284785 0.1447239574539929 0.14530387639809192 -0.23555038821847143 2.124013528748591 -8.399280575539569 0
Short Term Coverage Ratio 5.198043152627721 6.539542096141567 40.26383213694092 11.680438992898644 5.772930497222599 7.823240897943784 3.791644349223353 -0.12095767406160704
Capital Expenditure Coverage Ratio -0.35406350605341597 -0.48470855489336384 -2.005098140581089 -1.3822470841892602 -1.2028341833374108 -0.8198118056379236 -0.3649721592080841 43.16831683168317
EBIT Per Revenue 0.21174090015907177 0.2971514474943245 0.5388873580110836 0.4754995741739592 0.3277665240149837 0.1983398039510092 -0.050998036980322584 0
Days of Sales Outstanding 24.14235753719472 28.058617422465716 34.13193104926365 38.64375948851504 31.457276464578733 15.362240192188072 8.273014887918997 0
Days of Inventory Outstanding 56.987122877676576 47.23148856477591 55.51912520387941 68.45746989458507 42.15429225350014 35.42855533241869 23.76084586206367 0
Days of Payables Outstanding 100.98510909527593 65.50460460585995 51.23660534207896 38.879203172010975 47.449412620172964 45.980918484348386 37.36209438395504 0
Cash Conversion Cycle -19.855628680404635 9.785501381381664 38.414450911064094 68.22202621108913 26.162156097905907 4.809877040258378 -5.328233633972374 0
Cash Conversion Ratio 1.7574565751476228 1.4080780901690055 1.813397462360671 3.154410910077099 1.3912257980257503 -26.28906497622821 0.9452951126146177 0
Free Cash Flow to Earnings -3.2062195595017453 -1.496921369720419 0.9090040934479962 0.8723218782689551 0.23460270126138677 5.778129952456419 -1.644752069794356 0

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