MOTS 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
2017
12-31
2016
12-31
2015
12-31
Price Ratios
Price to Earnings Ratio -0.0798999471516282 -0.15034402741694766 -1.1580567764792977 -1.553628776978417 -2.54734880941843 -2.115126971289931 -3.428544545454545 -8.50259379284557 -11.386464697045568
Price to Sales Ratio 3.222798181818182 4.5943814189189185 56.010260102301785 310.7099020408163 537.8953177570094 1307.67725 6465.255428571429 0 0
Price to Book Ratio 0.3826098325269818 0.913629089687605 2.2677862379621 2.697039007971656 3.1402662047140986 2.5423330453097157 8.194240086909288 6.8019054741250375 -18.32294117647059
Price to Free Cash Flows Ratio -0.08941316924682553 -0.15374336103103273 -1.470589020950846 -1.7826573619811485 -2.8236667320806554 -3.0411098837209303 -4.07535236380009 -11.081271929824561 -13.667864155479863
Price to Operating Cash Flow Ratio -0.09022929787607513 -0.15571499398866434 -1.5185141935931215 -1.791889036662155 -2.890022545819734 -3.152506596129378 -4.352451240623196 -11.135538687561215 -13.856654478976234
Price Earnings to Growth Ratio 0.0009859267624820318 0.00489336035429172 0.034148497664674655 0.04836640250067058 0.06555017111903882 -0.14010065878791322 -0.023166773383522594 -0.25068965858313214 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.7605504587155962 3.2027505730360493 8.259565667011376 2.0836003770028277 2.6592912552891397 9.21479314667781 4.178517397881997 15.950797872340425 2.108882521489971
Quick Ratio 1.5394495412844036 2.938320483434049 7.815236125473975 1.9655042412818096 2.540021156558533 8.816548265775177 3.841149773071104 15.788563829787234 1.9269340974212035
Cash Ratio 1.5162079510703363 2.9260262554698895 7.777662874870734 1.9622054665409991 1.8095909732016926 7.5428332636857505 3.4992435703479576 15.48404255319149 1.851002865329513
Debt Ratio 0.3379482209608196 0.6480421601405338 0.4629537352907356 0.36419547872340424 0.27243699042068387 0 -0.027268760907504363 0 2.7638483965014577
Debt to Equity Ratio 0.9084480833643469 3.84145112529392 1.250698974836906 0.7762621789193977 0.47948494107376693 0 -0.045265254390729676 0 -1.273166800966962
Long Term Debt to Capitalization 0.31558838512480897 0.7441560673771055 0.5493279820795222 0.04621103320097998 0.037445512315529644 0 0 0 4.660766961651918
Total Debt to Capitalization 0.47601404056162244 0.7934503573163116 0.5556935817805383 0.4370200458761344 0.324089098687122 0 -0.04741134079271762 0 4.660766961651918
Interest Coverage Ratio -15.646517739816032 -14.257987220447284 -24.99860529986053 -41.04956896551724 0 0 -2160.6666666666665 -69.84883720930233 -1065
Cash Flow to Debt Ratio -4.6677591151167555 -1.5273697096887024 -1.1940718662030136 -1.9389548151528981 -2.2661583978152025 0 41.592 0 -1.0386075949367088
Margins
Gross Profit Margin -1.8448275862068966 -0.34459459459459457 -0.5959079283887468 -4.061224489795919 -0.27102803738317754 -0.5 0.5714285714285714 0 0
Operating Profit Margin -37.32601880877743 -30.153716216216218 -45.84143222506394 -194.35714285714286 -219.02803738317758 -525.6944444444445 -1852 0 0
Pretax Profit Margin -40.33542319749216 -31.41385135135135 -48.67774936061381 -196.5 -215.7570093457944 -618.25 -1885.7142857142858 0 0
Net Profit Margin -40.33542319749216 -30.55912162162162 -48.36572890025575 -199.98979591836735 -211.15887850467288 -618.25 -1885.7142857142858 0 0
Operating Cash Flow Margin -35.71786833855799 -29.50506756756757 -36.8849104859335 -173.39795918367346 -186.1214953271028 -414.80555555555554 -1485.4285714285713 0 0
Free Cash Flow Margin -36.04388714733542 -29.883445945945944 -38.086956521739125 -174.29591836734693 -190.4953271028037 -430.0 -1586.4285714285716 0.0 0.0
Return
Return on Assets -1.7813927730859753 -1.0251600838669461 -0.7248648855839626 -0.814453125 -0.700437114424776 -0.969634922017949 -1.4397905759162304 -0.6581084406529407 -3.4932944606413994
Return on Equity -4.788611834759956 -6.076923076923077 -1.9582686134410272 -1.7359610274579274 -1.2327586206896552 -1.2019765620780904 -2.390005431830527 -0.7999800578322863 1.6091861402095085
Return on Capital Employed -3.012142676448267 -1.3893991282689913 -0.7729860272554769 -1.4157127991675338 -1.1206426624587578 -0.9204318856086766 -1.8043145441892832 -0.5251333158492876 -5.23598820058997
Return on Invested Capital 11.847761194029843 14.543800404038443 -28.494573761360655 2.6320801693292806 -59.57543099714153 -6.408530237991173 -51.71706577974834 0 0
Turnover Ratios
Receivables Turnover Ratio 4.197368421052632 10.033898305084746 3.5871559633027523 2.8 1.2891566265060241 7.2 0.011627906976744186 0 0
Payables Turnover Ratio 0.49267100977198697 0.404266124936516 0.24148606811145512 0.2126018002571796 0.04534844948316105 0.025233644859813085 0.003401360544217687 0.42990654205607476 0.09740259740259741
Inventory Turnover Ratio 3.704081632653061 1.6311475409836065 1.2580645161290323 0.6161490683229813 0.1341222879684418 2.347826086956522 0.5 0.5679012345679012 -0.8490566037735849
Fixed Asset Turnover Ratio 0.2653910149750416 0.3377067883628066 0.18486997635933805 0.050411522633744855 0.05151661049590756 0.0425531914893617 0.008939974457215836 0 0
Asset Turnover Ratio 0.044164474595043614 0.03354677848926163 0.014987159339185097 0.004072473404255319 0.003317109464612332 0.0015683540995033544 0.0007635253054101221 0 0
Per Share Items ()
Revenue Per Share 0.3940674930142581 2.742480184190899 2.5013274307976743 0.9153232585508004 1.2772001862086253 0.7134788037338725 0.20324022995180308 0 0
Operating Cash Flow Per Share -14.075250831988892 -80.91706313726762 -92.26123838098223 -158.7151850260587 -237.7144084892035 -295.9549715599421 -301.89884443412114 -118.0005778676683 -94.82808436867957
Free Cash Flow Per Share -14.20372424663931 -81.95475834209661 -95.26794910342446 -159.53710795210432 -243.30066724757393 -306.79588560556516 -322.42610765925326 -118.57844553597226 -96.13791775016854
Cash & Short Term Investments 6.12472297919966 65.05051815271723 144.34130644779518 194.45015224254198 342.9461546725235 418.0391224210714 203.6757447302712 224.28970432437637 24.886834248290477
Earnings Per Share -15.894879099104887 -83.80778549357694 -120.97852440873353 -183.05531167690958 -269.6921589457727 -441.1082704084667 -383.2530050519715 -154.5410767600886 -115.4001733603005
EBITDA Per Share
EBIT Per Share -14.708970656177964 -82.69596920268874 -114.66443189160489 -177.89961332262342 -279.74265013070413 -375.0718433517649 -376.4009058707393 0 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share -1.8393036987990206 0.5275281081055994 73.02476186211354 171.80589916500102 448.95137090132135 0 1103.0656756285932 0 1380.416257343735
Price Per Share 1.27 12.6 140.1 284.4 687.0 933.0000000000001 1314.0000000000002 1314.0 1314.0
Effective Tax Rate 0 0.027208689573587137 0.00640991961330321 -0.017759775665991587 0.021311617430477346 0.14970571056296894 0.018636363636363635 -0.0062711651824909065 -0.004864139550486414
Short Term Coverage Ratio -9.479201331114808 -6.289881166726683 -46.9771986970684 -2.068029694535719 -2.4662538699690404 0 41.592 0 0
Capital Expenditure Coverage Ratio 109.5576923076923 77.97767857142857 30.685106382978724 193.10227272727272 42.5534188034188 27.29981718464351 14.707213578500708 204.2 72.3970588235294
EBIT Per Revenue -37.32601880877743 -30.153716216216218 -45.84143222506394 -194.35714285714286 -219.02803738317758 -525.6944444444445 -1852 0 0
Days of Sales Outstanding 86.95924764890283 36.376689189189186 101.75191815856778 130.35714285714286 283.1308411214953 50.69444444444444 31390.000000000004 0 0
Days of Inventory Outstanding 98.53994490358126 223.76884422110555 290.12820512820514 592.3891129032257 2721.3970588235297 155.46296296296296 729.9999999999999 642.7173913043479 -429.88888888888886
Days of Payables Outstanding 740.8595041322313 902.8706030150754 1511.474358974359 1716.8245967741934 8048.786764705883 14464.814814814814 107309.99999999999 849.0217391304348 3747.333333333333
Cash Conversion Cycle -555.3603115797473 -642.7250696047806 -1119.594235687586 -994.0783410138248 -5044.258864760857 -14258.657407407407 -75189.99999999999 -206.30434782608688 -4177.222222222222
Cash Conversion Ratio 0.8855211004896246 0.9655077110165275 0.7626249272909946 0.8670340323485892 0.881428697884394 0.6709349867457429 0.7877272727272726 0 0
Free Cash Flow to Earnings 0.8936037926478587 0.9778895583439279 0.7874781872983977 0.8715240573498647 0.9021421616358325 0.6955115244642135 0.8412878787878788 0 0

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