LGHL 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
Price Ratios
Price to Earnings Ratio -0.9675429759094492 -48.0420589405792 -5.8388583913085625 21.303304556572066 -61.529726386471175
Price to Sales Ratio -13.241382376636455 1.467791932918639 1.9135706909048609 9.447663742082437 25.959933394871673
Price to Book Ratio 1.138583600763999 0.7220704403013807 1.8173629341109514 24.341294430379573 0
Price to Free Cash Flows Ratio -8.341910410013622 -1.2929853405088902 194.80437551621537 22.010664207672193 -137.57165136807862
Price to Operating Cash Flow Ratio -8.341910410013622 -1.9390322440635783 185.24803879820203 21.942529611714686 -144.8878237129021
Price Earnings to Growth Ratio -0.0003725502745913281 0.5238359065222785 0.034349647622094207 -0.05369673979427284 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.2817674300465418 1.4031047005976438 1.4679002195016877 2.0943803279120243 0
Quick Ratio 1.1745078771823092 1.300438637589795 1.2871666788592415 1.6292467735255913 0
Cash Ratio 0.20717246869790282 0.16498754524777515 0.3027351832826723 1.02593592286297 0
Debt Ratio 0.06223823326313488 0.01377027019867217 0.04845488765444651 0.11484163326215716 0
Debt to Equity Ratio 0.1867625899081225 0.03728188314375638 0.10303954835722759 0.21429698847916495 0
Long Term Debt to Capitalization 0.13950157256843823 0.03407960489943415 0.0704199839398742 0 0
Total Debt to Capitalization 0.15737148398196593 0.03594190137666706 0.09341419218439252 0.1764782343301034 0
Interest Coverage Ratio -13.241307925390153 2.0971003047074186 -17.298012087990084 11.315507261427799 -23261.64406779661
Cash Flow to Debt Ratio -0.7308184706483029 -9.988417677537337 0.09521033668465309 5.176555904178172 0
Margins
Gross Profit Margin 4.535236656596173 0.5518847415145378 0.36631813754168446 0.6669330728105425 -0.09077270505154864
Operating Profit Margin 12.452419335347432 0.12463177446926538 -0.3096979658626206 0.44696340716311733 -0.41789952686121123
Pretax Profit Margin 13.684198187311178 -0.028542987532376628 -0.3276016396655567 0.44696340716311733 -0.41789952686121123
Net Profit Margin 13.685575427995971 -0.030552227887111934 -0.3277302792191892 0.4434834847801974 -0.42190880602679887
Operating Cash Flow Margin 1.5873321248741188 -0.7569713899355415 0.010329775706772197 0.43056401924774046 -0.1791726366620825
Free Cash Flow Margin 1.5873321248741188 -1.1351961131600679 0.00982303752589775 0.42923119688452166 -0.1887011832504271
Return
Return on Assets -0.39215885692682945 -0.005551400700972478 -0.1463684144145379 0.612322172595315 0
Return on Equity -1.1767783231476399 -0.015029964498284165 -0.3112531272921755 1.1426065081001853 0
Return on Capital Employed -0.9433908674303869 0.0587455717590945 -0.2734149687103702 1.1515723029919127 0
Return on Invested Capital -1.430744817710642 0.08532081443890116 -0.38835971694723886 10.246016059218846 0
Turnover Ratios
Receivables Turnover Ratio -0.06054477567239942 0.3074627675659615 0.9196013818828513 5.1795901193633025 0
Payables Turnover Ratio 0.17986752366890174 0.13614509798791838 0.7118949857185057 1.589098954143202 0
Inventory Turnover Ratio -0.1684277657721909 -0.11669497973064102 -0.5818130856924074 0.40950027367791797 0
Fixed Asset Turnover Ratio -0.16608787356474486 1.5455154068411563 292.9675821186174 251.4228911084573 0
Asset Turnover Ratio -0.028654904500734952 0.18170199310781734 0.4466124239824825 1.3807102036703773 0
Per Share Items ()
Revenue Per Share -2.6998691664609367 44.96550125382004 50.42928409107714 53.24067555024239 18.875241031889487
Operating Cash Flow Per Share -4.285589060880555 -34.03759798325249 0.5209231937139224 22.92351925237727 -3.381926703315967
Free Cash Flow Per Share -4.285589060880555 -51.04466224963067 0.49536875003080927 22.852558889371032 -3.561780316854559
Cash & Short Term Investments 24.213075958494336 51.51300931765269 16.977580707972454 18.877873344387513 None
Earnings Per Share -36.94926312332176 -1.3737962413649272 -16.527203355992526 23.61136032507335 -7.963630407232537
EBITDA Per Share
EBIT Per Share -33.61990301134652 5.604130211163568 -15.617846702914806 23.796633743602417 -7.887954296617937
Dividend Per Share 0.0 0.0 1.9022927028852268 0.0 0.0
Enterprise Value Per Share 17.401019207407593 17.894697396474683 84.99370751401206 488.5504607983723 0
Price Per Share 35.75 66.0 96.5 502.99999999999994 490.0
Effective Tax Rate -0.00010064460233195221 -0.07039348465034377 -0.0003926706647860646 0.007785698621296625 -0.009593882997908101
Short Term Coverage Ratio -5.538131156618616 -186.20453636363635 0.35955495823480377 5.176555904178172 0
Capital Expenditure Coverage Ratio 0 2.0013799824666108 -20.384837962962962 -323.04681488681 18.803774006966414
EBIT Per Revenue 12.452419335347432 0.12463177446926538 -0.3096979658626206 0.44696340716311733 -0.41789952686121123
Days of Sales Outstanding -6028.596124874119 1187.1356095878982 396.91110430116515 70.46889649346758 None
Days of Inventory Outstanding -2167.1011209261383 -3127.812360416055 -627.3492449308161 891.3302956351171 None
Days of Payables Outstanding 2029.27128007771 2680.963217877961 512.7160709407309 229.68991266928236 None
Cash Conversion Cycle -10224.968525877966 -4621.639968706118 -743.1542115703819 732.1092794593023 0
Cash Conversion Ratio 0.11598577883886302 24.77630740162357 -0.03151913741807037 0.9708682149937101 0.4246714790084324
Free Cash Flow to Earnings 0.11598577883886302 37.1559192787684 -0.029972932465382632 0.9678628666347303 0.4472558537648563

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.