ML 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
Price Ratios
Price to Earnings Ratio -13.321273758647363 -0.7874442110130793 -2.3748272424564068 -12.275530165676773 -0.3278740664922855
Price to Sales Ratio 1.4234220716244204 0.4397758464540933 2.288278612128969 6.4286115651484055 0.42969942368839426
Price to Book Ratio 2.3431848287672565 1.5302516267385577 1.6787845751477057 -12.621828437917223 -0.8061069342612153
Price to Free Cash Flows Ratio 5.462497337363374 -27.10280716223549 -43.274717241379314 276.995373304395 -0.5286884143608134
Price to Operating Cash Flow Ratio 5.1804190192185375 44.58536768818804 -45.69373807912242 168.5939474900925 -0.558852656744707
Price Earnings to Growth Ratio 0.16639264208315743 0.01468991747258185 -0.0281634729225616 0.12665660009275095 0
EV to EBITDA
Liquidity Ratios
Current Ratio 5.885795628592536 5.468200037846858 5.951523174633193 3.843904998092331 5.428695436507937
Quick Ratio 5.7779159233832456 4.817148067229782 5.250831323972074 3.771365890881343 4.338541666666667
Cash Ratio 1.7024163468295583 1.993221971821294 3.179723574929475 0.9255055322396032 1.7504340277777777
Debt Ratio 0.37428555347893 0.39459236478396625 0.37960645972437534 0.4901369264737996 0.300175559274355
Debt to Equity Ratio 0.749754104415235 2.402957335130609 0.8000162926502997 -1.4983434703060872 -0.9083509382378526
Long Term Debt to Capitalization 0.4245261490549828 0.7031978832322534 0.44444947299470017 7.5701754385964914 -9.911186440677966
Total Debt to Capitalization 0.4284911248519698 0.7061379554552603 0.44444947299470017 3.0066481444731097 -9.911186440677966
Interest Coverage Ratio -0.1864773401248997 -3.9931205745159235 -15.465590952972004 -8.26813559322034 -21.67261185006046
Cash Flow to Debt Ratio 0.6032853868729713 0.014283164479499557 -0.045923972753241046 0.04996534767829445 -1.5879677132498804
Margins
Gross Profit Margin 0.37789864464340117 0.6876872734742989 0.9481973689593305 0.9453979927214113 0.9404974827768945
Operating Profit Margin -0.012623071999924428 -0.3492083522869008 -0.6553699060843546 -0.3071488836559167 -1.18728471118177
Pretax Profit Margin -0.10939444679298398 -0.6300899499625819 -0.963228547551005 -0.5236176348364836 -1.3106948860625331
Net Profit Margin -0.10685330077391594 -0.5584850841538394 -0.9635558204907926 -0.5236931911196182 -1.31056240063593
Operating Cash Flow Margin 0.2747696791212736 0.009863681051812938 -0.05007860394714542 0.03813073755525053 -0.7688957339692634
Free Cash Flow Margin 0.2605808266281874 -0.01622621021585056 -0.05287795641425741 0.023208371636171312 -0.8127649708532061
Return
Return on Assets -0.08781020807011619 -0.31911386419202403 -0.3354267625290415 -0.3363473872358322 -0.8124698417913206
Return on Equity -0.17589795624808047 -1.9433143393991381 -0.7069080837270724 1.0282104534440983 2.4585870510749346
Return on Capital Employed -0.011625580191490379 -0.22108533238699177 -0.2619596575446465 -0.23755539323106892 -0.8821039680098431
Return on Invested Capital -0.014292589307001556 -0.24971904771607822 -0.495661498980422 -0.2929603999108264 -1.3514394323648902
Turnover Ratios
Receivables Turnover Ratio 1.8721139987089814 2.075789512159462 1.3020362507419074 1.330791661080574 1.446635202798208
Payables Turnover Ratio 5.027425738606 1.8307385298216037 0.2404253010741022 0.20679130103014118 0.25361756193971907
Inventory Turnover Ratio 263416999 106419000 0.2488140350877193 4336000 3593000
Fixed Asset Turnover Ratio 52.77714072042877 114.49764784946237 95.00888395335924 158.18924302788844 81.48987854251013
Asset Turnover Ratio 0.8217828315468532 0.5713919194019539 0.34811347240701634 0.6422603786708507 0.6199398375820047
Per Share Items ()
Revenue Per Share 44.04175068639878 42.294273662302174 52.834475382137605 52.73300409653451 684.1991955130021
Operating Cash Flow Per Share 12.101337704040924 0.417177225723041 -2.6458767674172736 2.0107483397049086 -526.0778426151493
Free Cash Flow Per Share 11.476435800014333 -0.6862757753712269 -2.793779086426828 1.2238471565641171 -556.0931391989122
Cash & Short Term Investments 9.826915278050663 14.381381160718364 62.29898870631478 12.886585957831393 319.8798934904538
Earnings Per Share -4.706006432703588 -23.620720985516343 -50.908966277036164 -27.61591519263806 -896.6857401846921
EBITDA Per Share
EBIT Per Share -0.5559421899171328 -14.769513616783806 -34.62612516920767 -16.196883340073455 -812.3392442354541
Dividend Per Share 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 72.92214460862449 33.42623780367921 116.21529439663266 366.35627100478314 305.41011840688907
Price Per Share 62.68999999999999 18.6 120.9 339.0 294.0
Effective Tax Rate 0.023229204896267352 0.11364229156963204 -0.00033976665311644897 -0.00014429667396166518 0.00010108029565986481
Short Term Coverage Ratio 37.518864882296036 1.0181763102090275 0 0.21628571428571428 0
Capital Expenditure Coverage Ratio -19.365179760319574 -0.3780652418447694 17.88935281837161 -2.5552742616033757 17.526991317478295
EBIT Per Revenue -0.012623071999924428 -0.3492083522869008 -0.6553699060843546 -0.3071488836559167 -1.18728471118177
Days of Sales Outstanding 194.9667596373435 175.83671073676797 280.33013657801075 274.27283373839896 252.3096350026497
Days of Inventory Outstanding 0.0000013856357083469772 0.0000034298386566308644 1466.9590478339348 0.00008417896678966789 0.00010158641803506818
Days of Payables Outstanding 72.60176857454822 199.37309127129552 1518.1430505415162 1765.0645756457563 1439.1747843028108
Cash Conversion Cycle 122.36499244843098 -23.53637710468891 229.14613387042937 -1490.7916577283906 -1186.865047713743
Cash Conversion Ratio -2.5714664603823625 -0.01766149415925297 0.051972706595905985 -0.07281121504316253 0.5866914338425768
Free Cash Flow to Earnings -2.4386783069952482 0.029053972391106717 0.05487793783169067 -0.04431673359463294 0.6201650302639726

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