ICPT Financial Ratios


* All Per Share Items In USD
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
2013
12-31
2012
12-31
2011
12-31
2010
12-31
Price Ratios
Price to Earnings Ratio 3.632538344678486 -3.5785321638785836 -2.5116707275699346 -10.030798154721111 -9.277156919176567 -4.061566902629819 -6.4908920136617985 -15.628293637299109 -11.447762564171368 -18.1584018175486 -4.929384774997709 -5.071225863098495 -4.281471838787032
Price to Sales Ratio 1.4643308645479682 1.4278172809435767 2.604365345869711 15.565605352338473 15.955632577695713 11.176690491462782 107.39589395214621 1271.9981667864845 1861.2537313432836 759.1152718596817 87.95505687653312 35.784414640496806 0
Price to Book Ratio 4.494923249675 -2.8210494094976135 -4.880697380328792 76.08355341764295 149.9679330893884 89.32348834370805 8.508614399298896 5.8767828228561365 14.04257420167958 14.938236622774287 3.2640197402597404 -25.23481348773214 0
Price to Free Cash Flows Ratio -15.298156037370191 -12.345748678989438 -4.682457724086777 -16.49875995272325 -11.90997446872107 -5.307057731495246 -7.710735928867403 -20.959261891646975 -35.096891407334034 -41.53801304507637 -13.62645587548168 25.40161535590878 -4.719519136785387
Price to Operating Cash Flow Ratio -15.622627756161313 -12.463457130814861 -4.789614529542541 -16.57797196265632 -11.91823724419851 -5.514859270088395 -7.825099652202861 -21.722869578028508 -36.95424203584239 -43.95428992556668 -13.660021349292562 24.789265273510562 -4.729561980705124
Price Earnings to Growth Ratio -0.020763881241566723 0.06662305146008803 0.12309179954559006 -0.7311038118139015 0.3789929445959062 0.2880958896187424 -0.0864246903211794 0.5233750424481248 -0.043610524053986154 0.3956140834857767 -0.06051135797513213 0.32818075942623115 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.347592327785915 3.011036045486971 2.6646228416984967 4.452424307891731 4.224202092727989 4.309235442259261 9.01601029142042 13.545542819749647 16.12926159113487 16.61495815931381 8.622165489282905 4.688437468921028 0
Quick Ratio 2.2272021975251763 2.801309219084386 2.854743237508097 4.263238788926268 7.4844884199465875 7.482102005113713 17.162089871611983 25.902075021636797 30.311566566448676 16.471224950675158 13.536705262103968 4.549645628408457 0
Cash Ratio 0.2195656236825063 0.5077959680368308 0.32472804842636643 0.43242492515663095 3.8190972374239305 3.988282676817194 8.780632260036683 13.257657315348405 15.728776692037306 1.5046213857300184 8.499964594408508 4.391662142518961 0
Debt Ratio 0.6008061967343975 1.0383038311420945 0.9914296394935994 0.7133977845661464 0.8911437701186448 0.7343433530093094 0.46175801789103327 0 0.040645448142624996 0.02703591265963263 0.02287213293040587 0.004199312708069802 0
Debt to Equity Ratio 3.5741697734134106 -2.974581707091682 -3.449227763360563 10.44561253782295 23.718818609513853 21.70615159282314 1.0839038268578614 0 0.04473972567142071 0.04931673747453162 0.038927251486830926 -0.03194105113802838 0
Long Term Debt to Capitalization 0.7056211473807724 1.5107133140480724 1.4156641663324308 0.9116638167070459 0.9509964649828372 0.9559590714475774 0.5201314057243162 0 0 0 0 0 0
Total Debt to Capitalization 0.7813810921902525 1.5064363740474827 1.408291958371364 0.9126302767374468 0.9595449921860296 0.9559590714475774 0.5201314057243162 0 0.04282380058120976 0.04699890482374833 0.03746869805476881 -0.03299494434257083 0
Interest Coverage Ratio -3.1898994622398877 -1.0246237527334203 -4.507637241436717 -7.593500874975695 -9.35327457982505 -11.465682757678248 -28.355734009580164 0 0 0 0 -1103.6711678290549 0
Cash Flow to Debt Ratio -0.08049946944897843 -0.076093273149248 -0.2954332996243358 -0.43936501687915713 -0.5305096960600871 -0.7461882550741262 -1.0031784998652433 0 -8.49354733785092 -6.891340797244094 -6.138293605864588 31.870379883075266 0
Margins
Gross Profit Margin 0.9965559483392251 0.9914710510966578 0.9829799481914996 0.9832858469377227 0.9859903005494872 0.9895308347842023 1 1 1 1 1 1 0
Operating Profit Margin -0.23875958139372092 -0.15340827803272916 -0.6927308196616457 -1.239779843017119 -1.5877844764298903 -2.5627844466843825 -16.133140956274296 -82.37095614665708 -64.96555683122847 -24.328479360543454 -7.732456255110384 -8.24055885171705 0
Pretax Profit Margin -0.6120121801827028 -0.2515379620764414 -0.8790815184367904 -1.3677708907072166 -1.7198838735512 -2.751817404319008 -16.54562943369003 -81.39072609633357 -162.58668197474168 -41.80518084615019 -17.84300899427637 -7.661749569283098 0
Net Profit Margin 0.40311504672570087 -0.39899523479370946 -1.0369055614186575 -1.5517813350687693 -1.7198838735512 -2.751817404319008 -16.54562943369003 -81.39072609633357 -162.58668197474168 -41.80518084615019 -17.84300899427637 -7.056363807592805 0
Operating Cash Flow Margin -0.09373140597108956 -0.11456029141492512 -0.5437525984201605 -0.9389330243410766 -1.3387577584480879 -2.0266501725770487 -13.724540098593243 -58.55571531272466 -50.366443168771525 -17.27056160263735 -6.438866721177432 1.443544786248082 0
Free Cash Flow Margin -0.09571943579153687 -0.11565254712932088 -0.5561962326905241 -0.9434409250720233 -1.339686547574025 -2.106005070405327 -13.928099074185402 -60.68907260963336 -53.03186854190586 -18.275194603937898 -6.454727309893704 1.4087456305086061 0.0
Return
Return on Assets 0.20800381426411974 -0.2751720513146485 -0.5585463290432722 -0.5180278876545598 -0.6073488658927229 -0.7440264934024573 -0.5584421030418544 -0.3452935381649938 -1.1144092638570287 -0.45099155407135966 -0.38905677533228145 -0.6542084625277775 0
Return on Equity 1.237405588921001 0.7883258499037845 1.9432074940216837 -7.584994956940027 -16.165290120230004 -21.992371536677652 -1.3108544066655659 -0.3760348352318114 -1.2266653962259249 -0.8226625213424734 -0.6621556014079378 4.9760776129805 0
Return on Capital Employed -0.21078131469499498 -0.15479753252305625 -0.539618796601007 -0.5269640956616927 -0.7228290316536781 -0.8824626031715981 -0.609222070372506 -0.37666280398103175 -0.47369720408272326 -0.2789346233517582 -0.19063244765561835 -0.9635333303709964 0
Return on Invested Capital 0.16451536300916883 -0.32104231124502475 -0.7443253802342383 -0.6779669903841922 7.081434504458117 10.484137701480005 14.538865686045629 11.70332877868338 222.09441186455152 -0.4372704866422418 2.6867778904706183 6.037299293978362 0
Turnover Ratios
Receivables Turnover Ratio 10.636214727123818 7.6331562257177055 7.525812895617223 6.623961728524866 6.997898342025375 7.051259961231962 2.022780705310093 0.7537252777025196 0.6812671098944075 1.1767975326560232 4.552323806829603 2.8337990580847725 0
Payables Turnover Ratio 0.0691302515104679 0.17096845356276197 0.2163942424981703 0.22197628458498023 0.21410964725881854 0.1968413496051687 0 0 0 0 0 0 0
Inventory Turnover Ratio 0.1522748375116063 0.3596704954171018 -0.07761298508115676 0.49775466792720396 0.35438942037141247 1371000 0 0 0 0 0 0 0
Fixed Asset Turnover Ratio 289.47315096251265 38.27590564448189 16.763523293840134 13.660125758889853 17.270579195082124 8.091695501730104 2.2090305444887117 0.2768985766895591 0.2977268842932832 0.9698726076555024 16.43397519450678 5.797453800350713 0
Asset Turnover Ratio 0.5159911939621933 0.6896625004980808 0.5386665380394805 0.33382788924420376 0.353133647703013 0.2703764036940458 0.033751638478301746 0.004242418697141323 0.006854246918146441 0.010787934532111732 0.02180443755070022 0.0927118386135129 0
Per Share Items ()
Revenue Per Share 8.447544403715453 11.409022861268852 9.48407643312102 7.9611423516775135 6.316891512085442 5.226949788456933 1.0116774115071159 0.11741369122984723 0.08381447267128561 0.08994681378590574 0.3892897260934569 0.5421354574302647 0
Operating Cash Flow Per Share -0.7918002139634589 -1.3070209837465023 -5.156991204124962 -7.4749794654703985 -8.456787521079258 -10.593198690827812 -13.88480720107043 -6.87524267747109 -4.221436874518861 -1.5534319884504357 -2.5065846622394377 0.7825968130136777 -4.101859766114679
Free Cash Flow Per Share -0.808594184147598 -1.3194825541623951 -5.275007582650895 -7.510867504896695 -8.462654581225408 -11.007982757244353 -14.090743218586546 -7.125728032413269 -4.444838096612779 -1.6437955259415915 -2.512759026476476 0.7637309567986699 -4.110588269213789
Cash & Short Term Investments 14.35665656061915 13.173763290366864 14.245283591143464 20.61736273456751 29.127037661607645 30.32733296080466 54.1335198475449 51.63197433949523 22.104738741339492 8.037724560995194 27.844444218092647 5.318093766762192 None
Earnings Per Share 3.405332257021188 -4.552145755298765 -9.834091598422809 -12.353952107158653 -10.864319842608207 -14.383611399377346 -16.738839557231476 -9.556385582847978 -13.62711701308699 -3.760242816854785 -6.946100084064936 -3.82550502062369 -4.531152073511277
EBITDA Per Share
EBIT Per Share -2.0169321656359713 -1.7502385511832952 -6.569912041249622 -9.870063814999686 -10.029862282181002 -13.395545621457652 -16.321534282123014 -9.67147801131088 -5.445053887605851 -2.1882692027370534 -3.010165777581559 -4.46749914255664 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 7.849435768726096 20.292800808577 27.910403397027608 120.31577936437733 87.60383501967398 42.289082781192626 68.35729432753517 0 134.3922781947652 60.46769339962456 6.803907813137116 14.106461849326628 0
Price Per Share 12.37 16.29 24.7 123.92 100.79 58.42 108.64999999999999 149.35 156.0 68.28 34.24 19.4 19.4
Effective Tax Rate 1.6586716078189159 -0.5862227375144926 -0.17953288707799767 -0.13453309001656605 -0.021895473447979253 -0.08098965776555567 -0.03456386406026694 -0.004575385661730609 -0.6016015584727391 -0.41953171453854493 -0.55963424525708 0.07901403670479654 0.0445726161799292
Short Term Coverage Ratio -0.24441219688050453 -13.688034188034187 -23.458333333333332 -36.65009293680298 -2.9180637887769576 0 0 0 -8.49354733785092 -6.891340797244094 -6.138293605864588 31.870379883075266 0
Capital Expenditure Coverage Ratio 47.147887323943664 104.88413098236776 43.69725006425084 208.28609154929578 1441.4011976047905 25.539068514241723 67.42291789722387 27.447683235046334 18.896212092985593 17.190916066145327 405.9664389740946 -41.48217839119983 469.9385128857998
EBIT Per Revenue -0.23875958139372092 -0.15340827803272916 -0.6927308196616457 -1.239779843017119 -1.5877844764298903 -2.5627844466843825 -16.133140956274296 -82.37095614665708 -64.96555683122847 -24.328479360543454 -7.732456255110384 -8.24055885171705 0
Days of Sales Outstanding 34.31671975079626 47.8177033466495 48.49974415555342 55.10297537321132 52.15851705190096 51.76379852774978 180.44467155625026 484.2613227893602 535.7663605051664 310.16380462338134 80.17883074407196 128.80235772492838 0
Days of Inventory Outstanding 2396.9817073170734 1014.8177419354839 -4702.821307779031 733.2929724596391 1029.9404525605398 0.0002662290299051787 0 0 0 0 0 0 0
Days of Payables Outstanding 5279.888211382115 2134.8967741935485 1686.7361894024802 1644.3198005698005 1704.7340214370781 1854.2851932895696 0 0 0 0 0 0 0
Cash Conversion Cycle -2848.5897843142448 -1072.2613289114151 -6341.057753025958 -855.92385273695 -622.6350518246375 -1802.52112853279 180.44467155625026 484.2613227893602 535.7663605051664 310.16380462338134 80.17883074407196 128.80235772492838 0
Cash Conversion Ratio -0.23251775574348377 0.2871219539104412 0.52439934614317 0.6050678682119002 0.7784000879570045 0.7364769804116359 0.8294964028776979 0.7194396477483008 0.3097820962764718 0.4131201265746416 0.36086215745577854 -0.20457346384192882 0
Free Cash Flow to Earnings -0.23744942434924549 0.28985946959771625 0.5364000863584492 0.6079728527152399 0.7789401180952135 0.7653142490849606 0.8417992878424533 0.7456509546038714 0.3261759690141442 0.4371514303739903 0.36175105398221974 -0.19964186497764816 0

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.