KD Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
03-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
Price Ratios
Price to Earnings Ratio -2.435292576419214 -1.7597163154013016 -4.535162833126243 -9.676296522004243 -9.310966959438776
Price to Sales Ratio 0.19652836837777518 0.21740612676207324 0.4715144491654609 0.4499604329725332 0.4186432198683245
Price to Book Ratio 2.4513494505494506 1.4669606173598555 1.8728956527606733 1.5486672811014934 0
Price to Free Cash Flows Ratio -39.834428571428575 -4.656884164179105 -22.364577500612747 -162.94192179017858 -10.26405806552306
Price to Operating Cash Flow Ratio 4.284368758002561 -34.08526140336135 14.529852898487261 8.046514656305114 13.53820121698813
Price Earnings to Growth Ratio 0.05924151444764471 -0.1216911513496747 -0.039943588969584685 2.493069339198742 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.0195152013147084 1.2961633385685438 0.7271099744245524 0.9245892018779343 0
Quick Ratio 0.6922760887428102 1.0100964774512005 0.37544757033248083 0.5357981220657277 0
Cash Ratio 0.3794165981922761 0.49876598608929773 0.006138107416879796 0.01056338028169014 0
Debt Ratio 0.3702023726448011 0.3481419813819723 0.12423025435073627 0.11580381471389646 0
Debt to Equity Ratio 3.109157509157509 1.6636528028933093 0.2857142857142857 0.2308214528173795 0
Long Term Debt to Capitalization 0.7366390121551225 0.5992753623188406 0.16888433981576254 0.14385353095030515 0
Total Debt to Capitalization 0.7566411124977714 0.6245756958587916 0.2222222222222222 0.18753447324875896 0
Interest Coverage Ratio -4.48936170212766 -11 -27.03174603174603 -6.618421052631579 -6.411764705882353
Cash Flow to Debt Ratio 0.18402450518378888 -0.025869565217391303 0.4511494252873563 0.8338235294117647 0
Margins
Gross Profit Margin 0.14847879713379536 0.11293348341105215 0.11414840843323687 0.12806351397997928 0.11736098366672784
Operating Profit Margin -0.024785621989897803 -0.037733826445838024 -0.08800124018189334 -0.02480398441737758 -0.02500458799779776
Pretax Profit Margin -0.04998237988958064 -0.10199924961140591 -0.09125671765192228 -0.028551703732925687 -0.02890438612589466
Net Profit Margin -0.08070010572066251 -0.1235461220989441 -0.10396858205870194 -0.04650130677055082 -0.044962378418058356
Operating Cash Flow Margin 0.0458710207917303 -0.006378303049793643 0.03245142620917735 0.05591991715567829 0.030923105156909526
Free Cash Flow Margin -0.004933630917420416 -0.04668489038966608 -0.02108309218685407 -0.002761477390403866 -0.0407873004220958
Return
Return on Assets -0.11985345429169575 -0.17444940588814048 -0.17956269522534582 -0.08029632152588556 0
Return on Equity -1.0065934065934066 -0.833634719710669 -0.4129720853858785 -0.16004752206381534 0
Return on Capital Employed -0.06397816858702243 -0.08040201005025126 -0.23344756682659357 -0.06034069097888676 0
Return on Invested Capital -0.1435765189232738 -0.13052453130350228 -0.2668442078889546 -0.09870133383274027 0
Turnover Ratios
Receivables Turnover Ratio 11.179251477347341 8.186485300570425 13.401662049861496 11.329050279329609 0
Payables Turnover Ratio 8.17249154453213 14.517543859649123 18.653971708378673 21.406779661016948 0
Inventory Turnover Ratio 13.399260628465804 12.990580847723704 12.45857558139535 15.415867480383609 0
Fixed Asset Turnover Ratio 4.547542735042735 4.355042016806722 3.7789494239406367 3.795433277185102 0
Asset Turnover Ratio 1.4851709699930216 1.4120184666616211 1.7270861222668452 1.7267540871934606 0
Per Share Items ()
Revenue Per Share 75.10366122629026 83.25432346167702 86.423650584036 90.56351850938746 97.33825383059366
Operating Cash Flow Per Share 3.4450816056462283 -0.531021305244121 2.8045707196555707 5.064304452371684 3.0100010589933994
Free Cash Flow Per Share -0.3705337450374945 -3.8867189652741962 -1.8220777923876956 -0.2500891087590955 -3.970164601550641
Cash & Short Term Investments 8.147331274812528 9.91983497107295 0.10718104661104093 0.16077156991656139 None
Earnings Per Share -6.060873400970446 -10.285748811661335 -8.98534440755893 -4.211321956425483 -4.376559403284171
EBITDA Per Share
EBIT Per Share -1.8614909572121747 -3.1415041923685814 -7.605388432441779 -2.246336101889733 -2.433902933459054
Dividend Per Share 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 25.333445081605646 28.707039013153576 46.859319656829335 46.66282107137577 0
Price Per Share 14.760000000000002 18.1 40.75 40.75000000000001 40.75
Effective Tax Rate -0.6157461809635723 -0.21124540199684708 -0.1392978482446206 -0.6286701208981001 -0.5555555555555556
Short Term Coverage Ratio 1.8333333333333333 -0.25591397849462366 1.5621890547263682 3.0648648648648646 0
Capital Expenditure Coverage Ratio -0.9028901734104047 0.15824468085106383 -0.6061776061776062 -0.9529411764705882 -0.4312220089571337
EBIT Per Revenue -0.024785621989897803 -0.037733826445838024 -0.08800124018189334 -0.02480398441737758 -0.02500458799779776
Days of Sales Outstanding 32.64977093856455 44.58567829768988 27.235427862753205 32.21805808964939 None
Days of Inventory Outstanding 27.240309008139054 28.09728096676737 29.297089190923412 23.67690306526411 None
Days of Payables Outstanding 44.66202234791005 25.141993957703928 19.566878609344922 17.050673000791765 None
Cash Conversion Cycle 15.228057598793555 47.54096530675332 36.96563844433169 38.84428815412174 0
Cash Conversion Ratio -0.5684133915574965 0.051626898047722344 -0.31212723658051694 -1.20254506892895 -0.6877551020408165
Free Cash Flow to Earnings 0.06113537117903931 0.37787418655097615 0.20278330019880716 0.059384941675503705 0.9071428571428573

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