JCSE 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
Price Ratios
Price to Earnings Ratio 35.028701981763426 18643.274999999998 654.9587145338737 3367.0249999999996
Price to Sales Ratio 2.2411149569138535 78.29064277973448 52.863191101556296 63.204487073933805
Price to Book Ratio 2.5645975531147966 382.3629010916308 190.26302775441548 276.54239913544666
Price to Free Cash Flows Ratio -6.894685066423713 447.1501160541586 1356.2514388489208 1238.1962903225806
Price to Operating Cash Flow Ratio -7.96988218405459 342.68694040913135 1015.3623877917415 745.3220388349515
Price Earnings to Growth Ratio 0.017862895289207717 -193.027868852459 1.5363229106350127 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.908129256629474 0.8182010582010582 1.1940950202723777 1.0857866795366795
Quick Ratio 0.8864657296044052 0.4651851851851852 1.0249506185674186 0.6951013513513513
Cash Ratio 0.475365889001594 0.11724867724867725 0.05717850088366774 0.10171332046332046
Debt Ratio 0.33441421119413506 0.7024945770065076 0.5410559205991821 0.653253693806979
Debt to Equity Ratio 0.7284564830170137 4.28514720476348 1.9806560134566862 2.994236311239193
Long Term Debt to Capitalization 0.24844204403822184 0.6579929856318588 0.5027601204416192 0.6096371988375363
Total Debt to Capitalization 0.42144913116093957 0.8107905113600801 0.6645033860045146 0.7496392496392497
Interest Coverage Ratio 5.25 0.8663594470046083 8.809375 2.495633187772926
Cash Flow to Debt Ratio -0.44173693086003374 0.26038289331480624 0.09460721868365181 0.1239172281039461
Margins
Gross Profit Margin 0.2752401910793838 0.15903549173665674 0.27592653175678833 0.2717492727372523
Operating Profit Margin 0.094680908163813 0.012733676510430777 0.13174744123007898 0.0627367034414622
Pretax Profit Margin 0.07659277548172401 0.000135464643727987 0.10959480300976772 0.032054448652505625
Net Profit Margin 0.06397938919005958 0.004199403955567597 0.08071224938075432 0.018771612053350897
Operating Cash Flow Margin -0.281198003327787 0.22846112164725008 0.052063373370098615 0.08480158076733081
Free Cash Flow Margin -0.32504964843540335 0.1750880520184232 0.03897742674206665 0.051045611724024366
Return
Return on Assets 0.03361060200197378 0.0033622559652928415 0.0793548683545467 0.017918893429739076
Return on Equity 0.07321417603341318 0.020509427720807147 0.29049621530698067 0.08213256484149856
Return on Capital Employed 0.08142916493560448 0.020912124582869854 0.23213109354413702 0.10585293572883868
Return on Invested Capital 0.0975700207057322 0.7394062420705404 0.17906523225563697 0.06723853229945716
Turnover Ratios
Receivables Turnover Ratio 3.3062999112688556 4.585093167701864 2.3182015167930663 3.7650340979541226
Payables Turnover Ratio 7.581695676586188 6.480167014613778 6.354799015586546 7.530079455164586
Inventory Turnover Ratio 1.1354692230070635 4.855690262025812 11.226811594202898 4.284145947691314
Fixed Asset Turnover Ratio 2.11283737809027 1.6439149315221022 2.4003814224814897 1.977531748616086
Asset Turnover Ratio 0.5253348371634006 0.8006507592190889 0.9831824656527133 0.9545740333228544
Per Share Items ()
Revenue Per Share 1.321198625204578 0.9842666666666667 1.4264666666666665 1.2146
Operating Cash Flow Per Share -0.3715184154069446 0.22486666666666666 0.07426666666666666 0.103
Free Cash Flow Per Share -0.4294551486360863 0.17233333333333334 0.0556 0.062
Cash & Short Term Investments 0.4680323614594072 0.0784 0.041933333333333336 0.06146666666666667
Earnings Per Share 0.08452948103933536 0.0041333333333333335 0.11513333333333334 0.0228
EBITDA Per Share
EBIT Per Share 0.12509228569915065 0.012533333333333334 0.1879333333333333 0.07619999999999999
Dividend Per Share 0.0 0.19333333333333333 0.0 0.10000000000000002
Enterprise Value Per Share 3.3339656092843155 77.84407 76.15064666666666 77.53790333333333
Price Per Share 2.960958 77.05887 75.40758 76.76817
Effective Tax Rate 0.1646811492641906 -30 0.2635394456289979 0.4143835616438356
Short Term Coverage Ratio -0.8087372645878358 0.4725413281031101 0.19326856349757113 0.25901089689857504
Capital Expenditure Coverage Ratio 6.412484700122399 -4.280456852791878 -3.9785714285714286 -2.5121951219512195
EBIT Per Revenue 0.094680908163813 0.012733676510430777 0.13174744123007898 0.0627367034414622
Days of Sales Outstanding 110.39530889377917 79.60579788675155 157.4496424732439 96.94467314342171
Days of Inventory Outstanding 321.45301044212397 75.1695393041237 32.51145678693604 85.19784443774496
Days of Payables Outstanding 48.14226468192253 56.3257087628866 57.43690699025367 48.472264094060904
Cash Conversion Cycle 383.70605465398063 98.44962842798864 132.52419226992626 133.67025348710575
Cash Conversion Ratio -4.395134228187919 54.40322580645161 0.645049218297626 4.517543859649123
Free Cash Flow to Earnings -5.080536912751678 41.693548387096776 0.4829183555298205 2.719298245614035

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