OST Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q4)
09-30
2023 (Q3)
06-30
2023 (Q2)
03-31
2022 (Q1)
12-31
2022 (Q4)
09-30
2022 (Q3)
06-30
2022 (Q2)
03-31
2021 (Q4)
09-30
2021 (Q2)
03-31
2020 (Q4)
09-30
Price Ratios
Price to Earnings Ratio -0.4083476736582514 -0.9751018216509378 -0.6449800864947942 -1.3264572265264063 -4.023083568865936 -11.196630876332021
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Price to Sales Ratio 0.4190313472936068 1.0006137539018602 0.3753229614574251 0.7718840704247257 0.3553937887014686 0.9890943382038655
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Price to Book Ratio 0.6974068721740042 0.8326762578385649 0.6452739982588485 0.663530840720728 0.6357378180975837 0.8846590494529746
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Price to Free Cash Flows Ratio -1.8005719212814943 -8.557772388159158 -2.7468902671036908 -6.071642708254012 -3.1869521284089126 -21.8786899478068
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Price to Operating Cash Flow Ratio -3.0746136812002884 -7.341934576527509 22.39662538845138 46.060593525868335 9.563242416200147 26.615386663278475
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Price Earnings to Growth Ratio -0.003897864157646946 0.02340244371962251 -0.006449800864947942 -0.008741169741625626 -0.04387749038558463 0
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.602931992960422 0.602931992960422 0.7617647867120021 0.7617647867120021 1.0127811462238885 1.0111648871415324
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Quick Ratio 0.20246950716514728 0.1810808837699614 0.23311748998646917 0.19574099885816126 0.3246018766490111 0.31456639095773403
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Cash Ratio 0.0210828605086421 0.0210828605086421 0.07053285439684087 0.07053285439684087 0.11604108790097006 0.11585590232267833
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Debt Ratio 0.454075801943742 0.5053868642674594 0.436096060277641 0.47106200494526573 0.37814750728646446 0.38302376821662243
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Debt to Equity Ratio 1.839632174210584 2.0475126222317495 1.2609225777103927 1.3620226634445103 0.8534729206352126 0.8652398734759511
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Long Term Debt to Capitalization 0.10615268990949019 0.10615268990949019 0.014389241018094771 0.014389241018094771 0.0035364016101861835 0
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Total Debt to Capitalization 0.6478417137677349 0.6718635412024375 0.557702678606232 0.5766340368039858 0.46047229022516 0.46387592597596633
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Interest Coverage Ratio -7.156246437582322 0 -9.616147602505308 0 -3.6071777165916408 0
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Cash Flow to Debt Ratio -0.12330045256876235 -0.05539098445043618 0.022849313595834184 0.010576628484767555 0.07789025687935082 0.03841551142921006
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Margins
Gross Profit Margin 0.05861298548387888 0.05861298548387888 0.020177480675527132 0.020177451516854558 0.08777713999697939 0.08777711986942172
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Operating Profit Margin -0.2242892193937768 -0.22428913330038253 -0.1527931938059748 -0.15279325212331996 -0.04370628579863437 -0.04370628676298292
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Pretax Profit Margin -0.24372725681564814 -0.24372721376895098 -0.1494298867179739 -0.14942991587664645 -0.023586867197305683 -0.023586867717733367
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Net Profit Margin -0.2565407949674623 -0.25654083801415944 -0.14547850752150876 -0.14547850752150876 -0.02208466358068037 -0.02208464200366426
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Operating Cash Flow Margin -0.1362874789297179 -0.1362874789297179 0.016758013984149462 0.016758013984149462 0.0371624782928676 0.03716250117713034
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Free Cash Flow Margin -0.232721249476875 -0.1169245579943614 -0.13663558604878817 -0.12712936309236353 -0.11151525795867512 -0.045208115319675064
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Return
Return on Assets -0.10538856899092802 -0.052694293337390716 -0.08650308772658266 -0.04325154386329133 -0.017503725642461505 -0.00874415347508469
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Return on Equity -0.42696880450313773 -0.21348443807354567 -0.2501139228056061 -0.12505696140280306 -0.039505630893269715 -0.01975279571203445
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Return on Capital Employed -0.32529530158352 -0.1626475883594756 -0.2553001457337885 -0.12765012158773825 -0.07714289864618859 -0.038571449323094295
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Return on Invested Capital -0.36399026887479996 -0.18199509672225306 -0.28648550782484905 -0.14942133385381956 -0.09166853416964645 -0.045834225013151916
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Turnover Ratios
Receivables Turnover Ratio 3.1598260357656622 1.7911166555768785 5.677754599967551 3.6863243464494886 6.897458893370983 3.61391020340467
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Payables Turnover Ratio 2.025194905233185 1.0125974526165924 4.824943355263724 2.4124717494249373 6.583955305881821 3.2919776529409104
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Inventory Turnover Ratio 1.516685328483226 0.6864772749959475 2.075268228177249 0.8697258428813531 2.678974505582687 0.9601206564905812
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Fixed Asset Turnover Ratio 0.9219291732583469 0.46096458662917345 1.4628779582923983 0.7314389791461992 2.333615753756166 1.166807851133286
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Asset Turnover Ratio 0.41080627743550385 0.20540313871775193 0.5946107724111297 0.29730538620556485 0.7925737957708235 0.3959382032832531
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Per Share Items ()
Revenue Per Share 1.658587130745203 0.8292910194010648 2.4485578937974117 1.2242771113025017 3.235847211066488 1.6884132640296148
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Operating Cash Flow Per Share -0.22604465863453815 -0.11302198233322693 0.041032967425256583 0.02051645295168143 0.1202521017402945 0.06274565991198303
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Free Cash Flow Per Share -0.3859884694332887 -0.0969644858921629 -0.3345601427933958 -0.1556415694084457 -0.36084633645693887 -0.0763299815475198
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Cash & Short Term Investments 0.061009763498438195 0.061009576195500126 0.18708790718429272 0.1870876266780787 0.26102254350736276 0.2723947736996947
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Earnings Per Share -1.701981044176707 -0.8509880522990629 -1.4248501918786254 -0.7124240277801279 -0.28585038821954484 -0.14915200996132924
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EBITDA Per Share
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EBIT Per Share -0.3720032128514056 -0.18600096399525554 -0.3741229808121374 -0.187061281336053 -0.1414268630075859 -0.07379427429210234
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Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 2.467273520749665 2.809230460293812 2.527719535921464 2.697703771046555 2.43284323070058 3.0309470087625066
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Price Per Share 0.695 0.8297999999999999 0.9189999999999999 0.945 1.15 1.6700000000000002
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Effective Tax Rate -0.05925774034175997 -0.05925792742610907 0.02111122277043699 -0.021111413783710162 -0.019108405378454377 -0.019107469930009748
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Short Term Coverage Ratio -0.13180955105689507 -0.058801578775581585 0.0231169683168281 0.010691226113708298 0.07821549631642791 0.03841551142921006
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Capital Expenditure Coverage Ratio 1.4132754340770275 -7.03858056254613 -0.1092484561321403 -0.11646618573940844 -0.24995321579280494 -0.4511621104422791
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EBIT Per Revenue -0.2242892193937768 -0.22428913330038253 -0.1527931938059748 -0.15279325212331996 -0.04370628579863437 -0.04370628676298292
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Days of Sales Outstanding 28.482580680487356 50.247983412902286 15.851336723942659 24.41456354394973 13.048283634788646 24.903773180421272
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Days of Inventory Outstanding 59.33992919283083 131.10412140085964 43.36788795684925 103.4808850819415 33.59494456272351 93.73821862032077
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Days of Payables Outstanding 44.44016710067579 88.88033420135157 18.653068725006975 37.30613633981553 13.669594615807597 27.339189231615194
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Cash Conversion Cycle 43.382342772642396 92.47177061241034 40.566155955784936 90.58931228607568 32.97363358170456 91.30280256912684
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Cash Conversion Ratio 0.5312507078923007 0.5312506187502034 -0.11519236944104487 -0.11519236944104487 -1.6827278422016478 -1.6827305224582936
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Free Cash Flow to Earnings 0.9071510420258564 0.45577366511879835 0.9392149285597174 0.873870410538599 5.049443363775235 2.0470386303827874
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