MITQ Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
06-30
2022
06-30
2021
06-30
2020
06-30
2019
06-30
2018
06-30
Price Ratios
Price to Earnings Ratio -7.1076588987764175 -15.169092025862069 -199.58613917122753 -219.82548691099475 -8126.451870967742 235.70192027729635
Price to Sales Ratio 0.6324328549512545 0.7670926598005559 35.2243234441838 15.391947699639518 12.428832601509695 5.3680682060390765
Price to Book Ratio 1.6861816466552315 1.4951585130111524 -126.93718150174043 -259.97936842105264 -2929.3024186046514 1079.365142857143
Price to Free Cash Flows Ratio 50.31327047244094 -4.131763252127972 -156.3200685854256 -435.84776470588235 -2399.2381714285716 211.508566096423
Price to Operating Cash Flow Ratio 47.507697769516724 -4.1561610274579275 -156.51175475168608 -437.361125 -2469.8039999999996 205.12821719457014
Price Earnings to Growth Ratio -0.08198201448521386 0.530697097114708 -21.954475308835047 -0.061633314087194795 78.89759098026934 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.2126785714285715 2.468045807166605 0.556888222555389 0.7825702278257023 0.9362234264276782 1.012183514182372
Quick Ratio 1.3430357142857143 1.5635389730328777 0.28702315508912213 0.41296173412961734 0.5648186744476865 0.5796687607081668
Cash Ratio 1.1814285714285715 0.43221278167713334 0.21139430284857572 0.23401902234019023 0.12130054189245519 0.11364934323243861
Debt Ratio 0.03233308327081771 0 0.6646266829865362 0.4647615708274895 0 0
Debt to Equity Ratio 0.05686766064124555 0 -1.8901044256588762 -2.7358101135190918 0 0
Long Term Debt to Capitalization 0.019534282018111256 0 -5.508090614886731 1.8331900257953568 0 0
Total Debt to Capitalization 0.053807740324594254 0 2.123463687150838 1.5760998810939357 0 0
Interest Coverage Ratio 0.01420863309352518 -44.05 -6.324894514767933 -2.3574144486692017 0 559
Cash Flow to Debt Ratio 0.6241299303944315 0 -0.429097605893186 -0.2172764994341758 0 0
Margins
Gross Profit Margin 0.2627802246746177 0.2430930194539807 0.23306195667172624 0.26480112421335616 0.2583748581577779 0.21006512729425697
Operating Profit Margin -0.09773840748255555 -0.09601656585472182 -0.20684421139781978 -0.03788110221787744 -0.001924120578222902 0.02206433787250839
Pretax Profit Margin -0.08897906666006829 -0.07329300855539207 -0.14378363460742377 -0.05395002138449319 -0.001726774877892348 0.022774817446220643
Net Profit Margin -0.08897906666006829 -0.05056945125606234 -0.17648682213329653 -0.07001894055110894 -0.001529429177561794 0.022774817446220643
Operating Cash Flow Margin 0.013312218538130352 -0.18456759849599477 -0.22505864495653374 -0.03519276593144743 -0.005032315358429128 0.02616933096506809
Free Cash Flow Margin 0.0125699015192755 -0.185657457359272 -0.22533462122257486 -0.03531496303537607 -0.005180324633677043 0.025379909216498915
Return
Return on Assets -0.13488372093023257 -0.06248737458756986 -0.223640496590313 -0.2009116409537167 -0.006578947368421052 0.10726900910949991
Return on Equity -0.237234463649558 -0.09856611789697292 0.636001989060169 1.1826625386996905 0.36046511627906974 4.579365079365079
Return on Capital Employed -0.2554980595084088 -0.18671187877503445 5.278169014084507 -0.5240912933220625 0.45348837209302323 4.436507936507937
Return on Invested Capital -2.539039487321843 -0.17129977429072338 1.1847671462453326 -6.437327293318239 0.05171086398631309 -1.1477552462219478
Turnover Ratios
Receivables Turnover Ratio 22.32817679558011 10.414869466515324 15.962555066079295 20.23114956736712 9.524906015037594 10.349264705882353
Payables Turnover Ratio 9.885202388852024 8.774478837650031 2.9084249084249083 4.466592427616926 5.137388926862611 5.435361216730038
Inventory Turnover Ratio 3.3711246888436297 3.4440862881229855 3.623207301173403 7.548933500627353 8.931669637551991 9.100954979536153
Fixed Asset Turnover Ratio 45.613995485327315 834.1363636363636 345.0952380952381 108.3907284768212 633.40625 563
Asset Turnover Ratio 1.5159039759939985 1.235674365362602 1.2671795768490994 2.869389901823282 4.301570458404075 4.709983268265477
Per Share Items ()
Revenue Per Share 1.8499987640429894 1.6947105195062098 0.6813473660616993 1.5592568574386518 1.9309939050176592 4.470882089948112
Operating Cash Flow Per Share 0.02462758784221132 -0.3127886507311608 -0.15334311495054942 -0.054874561610842754 -0.009717370285253405 0.11699999311764746
Free Cash Flow Per Share 0.023254302274801766 -0.31463564601153376 -0.1535311506525121 -0.055065098283102624 -0.01000317529364321 0.11347058156055402
Cash & Short Term Investments 0.6057104875987736 0.6190204682169975 0.11930865289530793 0.10079389962547158 0.055446171627622366 0.10535293497923912
Earnings Per Share -0.1646111633468251 -0.08570058100930536 -0.12024883140512123 -0.1091775132049059 -0.0029533184200279954 0.10182352342214566
EBITDA Per Share
EBIT Per Share -0.18081593304225782 -0.16272028420085782 -0.14093275862101384 -0.05906636840055992 -0.003715465109067478 0.09864705302076157
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 0.603748584371461 0 24.238053198684725 24.151762459454986 0 0
Price Per Share 1.17 1.3000000000000003 24.0 24.0 24.0 23.999999999999996
Effective Tax Rate -0.432146829810901 0.3100371747211896 -0.22744721689059502 -0.29784824462061155 0.11428571428571428 0.03292894280762565
Short Term Coverage Ratio 0.9607142857142857 0 -0.7770366841353026 -1.1098265895953756 0 0
Capital Expenditure Coverage Ratio -17.933333333333334 169.35 815.5 288 34 -33.15
EBIT Per Revenue -0.09773840748255555 -0.09601656585472182 -0.20684421139781978 -0.03788110221787744 -0.001924120578222902 0.02206433787250839
Days of Sales Outstanding 16.347057950215273 35.04604653697346 22.866013522837036 18.041485916783774 38.32058809018699 35.268206039076375
Days of Inventory Outstanding 108.27247096730886 105.97876169906407 100.7394746311623 48.35120086428987 40.86581958488558 40.105681307150356
Days of Payables Outstanding 36.92387729072968 41.597912167026635 125.49748110831234 81.71777611568189 71.04776476849388 67.1528506470794
Cash Conversion Cycle 87.69565162679446 99.4268960690109 -1.891992954313011 -15.325089334608236 8.138642906578681 8.22103669914732
Cash Conversion Ratio -0.1496106785317019 3.649784482758621 1.2752150117279126 0.5026178010471205 3.290322580645161 1.149046793760832
Free Cash Flow to Earnings -0.1412680756395996 3.671336206896552 1.2767787333854574 0.5043630017452008 3.387096774193548 1.1143847487001735

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