LGVN 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
Price Ratios
Price to Earnings Ratio -1.3804447765376173 -3.440173057522801 -14.681877959683058 -37.05158315792805 -47.262380992599915 -186.00836547365574
Price to Sales Ratio 41.69176868829337 55.25390883797055 192.95540068912712 24.952469948207053 25.10429056580889 552.1411232097059
Price to Book Ratio 4.32092734980266 3.2931900990099012 6.728426382399275 71.77613392898658 31.850046208787226 172.97463344974088
Price to Free Cash Flows Ratio -1.500785134037368 -4.5544874603709955 -23.022085994883977 -53.504414215869254 -56.27305602789351 -218.67992954062072
Price to Operating Cash Flow Ratio -1.5555975160509419 -4.8335798267592525 -26.151904659609798 -59.42318431712962 -59.21634507358606 -227.6192336703504
Price Earnings to Growth Ratio -0.26369312466106304 -0.248054583621381 -0.047208610802839404 -1.3528136176266756 -0.16158078971829032 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.5037284649010028 4.037379338673239 13.064992614475628 0.48293102507331687 0.953444018341076 2.235078411526618
Quick Ratio 1.4070455129853432 4.082152392688437 12.960856720827179 0.3228661202749419 0.9318241312296507 2.163670846539664
Cash Ratio 1.2725636410388275 2.157116451016636 9.474889217134416 0.21302435836138886 0.750288011831707 2.163670846539664
Debt Ratio 0.16759730661849237 0.09502790646773429 0.07346957863723519 0.4481879090619049 0.3909787172933034 0
Debt to Equity Ratio 0.298348194708376 0.12705457737892015 0.08389181106987424 2.1160624546834628 0.930988053656186 0
Long Term Debt to Capitalization 0.17468934732778382 0.09053406671398155 0.06503070547705826 0.638279177182611 0.451062532834054 0
Total Debt to Capitalization 0.22979058770547173 0.11273152155097801 0.07739869442049513 0.6790821703534878 0.48213040567155635 0
Interest Coverage Ratio 0 62.86759581881533 -4364 -577.6298731080874 -17740.27218934911 0
Cash Flow to Debt Ratio -9.310142087212151 -5.362380038387716 -3.066836409929981 -0.5708153718805509 -0.5777292552149068 0
Margins
Gross Profit Margin -1.0225669957686883 0.4067103109656301 0.45176110260336905 0.3244089072428947 0.3110358321160195 0.3188387534986123
Operating Profit Margin -29.660084626234134 -14.765139116202946 -13.366003062787136 -0.6711530676356521 -0.531629413139471 -2.9795257111405182
Pretax Profit Margin -30.201692524682652 -15.413256955810148 -13.051301684532925 -0.6609445795751013 -0.5248505798244019 -2.968367158131419
Net Profit Margin -30.201692524682652 -16.061374795417347 -13.142419601837672 -0.673452193442047 -0.5311685539020893 -2.968367158131419
Operating Cash Flow Margin -26.801128349788435 -11.431260229132569 -7.378254211332313 -0.419911356736467 -0.423941912230697 -2.4257226171376374
Free Cash Flow Margin -27.779971791255292 -12.131751227495908 -8.381316998468607 -0.46636282844876414 -0.4461156428640584 -2.5248824817603723
Return
Return on Assets -1.7583347019214979 -0.7159741728377047 -0.40134686433147826 -0.41030324098023774 -0.28301110642392613 -0.6022595964036997
Return on Equity -3.130097938897822 -0.957274545188509 -0.45828104557712335 -1.937194792002522 -0.6738984693507958 -0.9299293233897008
Return on Capital Employed -2.5369767161298107 -0.8003459900638751 -0.4357681362025064 -0.6983314650300761 -0.37024908064648787 -0.7346241676222014
Return on Invested Capital -6.296107784431137 -1.5614730416144988 -1.2206853753137124 -0.8378851714103588 -0.4868998373139126 -1.3799609965930473
Turnover Ratios
Receivables Turnover Ratio 6.387387387387387 5.605504587155964 23.745454545454546 13.382901740397621 12.491673644059913 0
Payables Turnover Ratio 2.2476489028213167 0.4140491147915477 1.110077519379845 2.391690217193079 3.3647547656079504 1.2063171028333552
Inventory Turnover Ratio 0 -1.1655948553054662 0 0 0 0
Fixed Asset Turnover Ratio 0.18906666666666666 0.4143777551712445 0.2678974358974359 0.9935060236541196 0.8699700479824657 0.44843362535355946
Asset Turnover Ratio 0.05821974051568402 0.04457739028927881 0.030538278071365103 0.609253700523504 0.5328084735906519 0.20289255483571003
Per Share Items ()
Revenue Per Share 0.32620347919705167 0.5827642003468925 0.6255331520596374 2.969645896931515 2.9516866770543775 0.13420481990046673
Operating Cash Flow Per Share -8.742621314107726 -6.661729226387678 -4.615342613511995 -1.246988037607395 -1.2513436941763045 -0.3255436669614455
Free Cash Flow Per Share -9.061923450303428 -7.069950302899085 -5.2427916404630865 -1.3849324599842485 -1.3167935994673898 -0.3388513987344943
Cash & Short Term Investments 2.4665399886817974 9.374777946333236 16.784500955303116 0.43034439684526643 0.9765952001239407 0.2534587158495246
Earnings Per Share -9.851897179191068 -9.359994239123125 -8.221019159227884 -1.9999145430347038 -1.567843143823037 -0.39836917985548737
EBITDA Per Share
EBIT Per Share -9.67522279835656 -8.604594490064633 -8.360878026304006 -1.9930869535172138 -1.569203455894014 -0.3998667114524233
Dividend Per Share 0.0 0.0 0.21601489401140617 0.0 0.0 0.0
Enterprise Value Per Share 12.07250274903496 24.067530353096924 105.4204187719338 75.85422893287989 75.28937386389866 0
Price Per Share 13.599999999999998 32.2 120.70000000000002 74.10000000000001 74.1 74.1
Effective Tax Rate 0 -0.04204937616140165 -0.006981519507186858 -0.0189238466483624 -0.012037662375835211 -0.003759155257641243
Short Term Coverage Ratio -32.043844856661046 -24.7677304964539 -17.94413407821229 -3.436366490867965 -4.921531130026658 0
Capital Expenditure Coverage Ratio 27.380403458213255 16.31892523364486 7.355725190839695 9.03978585086042 19.119106263194933 24.462746357778574
EBIT Per Revenue -29.660084626234134 -14.765139116202946 -13.366003062787136 -0.6711530676356521 -0.531629413139471 -2.9795257111405182
Days of Sales Outstanding 57.14386459802539 65.11456628477906 15.37136294027565 27.273606806677147 29.219463332166555 0
Days of Inventory Outstanding 0 -313.14482758620693 0 0 0 0
Days of Payables Outstanding 162.39191073919108 881.5379310344828 328.8058659217877 152.61173766407302 108.47744499265197 302.5738416065733
Cash Conversion Cycle -105.24804614116569 -1129.5681923359107 -313.434502981512 -125.33813085739587 -79.25798166048541 -302.5738416065733
Cash Conversion Ratio 0.887404847522533 0.7117236459978601 0.5614075972966674 0.6235206608954372 0.798130667028987 0.8171908958407372
Free Cash Flow to Earnings 0.9198150656143464 0.7553370357161054 0.6377301328361689 0.6924958192877225 0.83987585407078 0.8505964212829321

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