PEAR Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2022
12-31
2021
12-31
2020
12-31
2019
12-31
Price Ratios
Price to Earnings Ratio -6.894464534119629 -34.622863407903814 -13.700050505552628 111.20911790815916
Price to Sales Ratio 12.893854422561839 166.97632842205323 146.84486146632565 42.31902770100117
Price to Book Ratio 5.351466014059179 7.769604241767477 -7.558677059449497 -20.86507548112593
Price to Free Cash Flows Ratio -1.394577497891194 -6.1813161668323495 -19.19369557344625 -37.36725275917238
Price to Operating Cash Flow Ratio -1.4370656134158655 -6.443663417184046 -20.29622912186644 -37.65417477319926
Price Earnings to Growth Ratio 1.2410036161415352 0.4595398234139961 0.015021765342714736 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.4756482342947292 3.927426536064114 3.0982893378557734 6.255657563885153
Quick Ratio 1.3392459851947738 3.739240130602553 3.0647397139065036 6.166715396760424
Cash Ratio 0.9769224545932608 3.595110884959505 2.725753330383916 1.6031226244079293
Debt Ratio 0.3953263463297207 0.1369091093528099 0.19903147333907498 0.13823250556102543
Debt to Equity Ratio 1.229589668137976 0.29848287148638786 -0.1445097802595636 -0.22959284102781521
Long Term Debt to Capitalization 0.21093367044193906 0 0 -0.1937495481165498
Total Debt to Capitalization 0.551486977944627 0.2298704727192213 -0.1689204352370144 -0.29801493710691823
Interest Coverage Ratio -31.693216855087357 25.503137065637066 -29.915690866510538 0
Cash Flow to Debt Ratio -3.0285585130427846 -4.039676953284185 -2.5771114063389637 -2.4135065620259843
Margins
Gross Profit Margin 0.35544351662202617 -0.24358365019011408 0.81692242114237 0.969350776979301
Operating Profit Margin -9.717189223255081 -25.115256653992397 -8.167519181585678 -0.9705484921073644
Pretax Profit Margin -5.94698282653222 -15.480513307984792 -10.339194373401535 -0.2866531539831706
Net Profit Margin -1.870174885772806 -4.822718631178708 -10.718563512361467 0.3805355936367545
Operating Cash Flow Margin -8.97234914132661 -25.913260456273765 -7.235080988917306 -1.1238867391437872
Free Cash Flow Margin -9.245706633054985 -27.013070342205324 -7.65068201193521 -1.1325164301947055
Return
Return on Assets -0.2495558662447834 -0.10293162913369852 -0.759885469078162 0.11296174743828173
Return on Equity -0.7761974824260258 -0.22440674967379526 0.5517262185556153 -0.1876201868479627
Return on Capital Employed -2.6998927484842516 -0.704594850460685 -0.8359947643979058 -0.3413182706742556
Return on Invested Capital 14.839494489414339 1.682141492502271 4.134039905982371 0.6436935661331665
Turnover Ratios
Receivables Turnover Ratio 1.8283162897882759 2.3455964325529544 36.5136186770428 32.30357142857143
Payables Turnover Ratio 2.507508427827153 2.8975636766334443 0.3812694185530404 0.3701780415430267
Inventory Turnover Ratio 118.57971014492753 0 0 0
Fixed Asset Turnover Ratio 0.8488131059846206 0.6727418065547562 2.194061257891045 47.88529411764706
Asset Turnover Ratio 0.13343985535430836 0.021343071616960845 0.07089433842527537 0.29684936002625534
Per Share Items ()
Revenue Per Share 0.09151646678554243 0.037131011674473614 0.06809908021393851 0.23630032501345544
Operating Cash Flow Per Share -0.8211176921805069 -0.9621855765255768 -0.4927023606186212 -0.26557480173798953
Free Cash Flow Per Share -0.846134403992846 -1.0030226302398029 -0.5210044080221123 -0.26761400053808726
Cash & Short Term Investments 0.42731715923370656 1.5403987260039294 0.9030167355521568 0.7579796280121125
Earnings Per Share -0.17115179781698261 -0.179072421796998 -0.729924316406498 0.08992068445555329
EBITDA Per Share
EBIT Per Share -0.8892828247988545 -0.9325548880267928 -0.5562005438956845 -0.2293409241262893
Dividend Per Share 0.0 0.0 0.0 0.0
Enterprise Value Per Share 1.023807763281174 4.897785066327121 9.288167223126042 9.352057280905615
Price Per Share 1.18 6.199999999999999 10.0 10.0
Effective Tax Rate 0.6855254268720775 0.688465199103497 -0.03669233068447687 2.327512320548532
Short Term Coverage Ratio -3.8698990859977576 -4.039676953284185 -2.5771114063389637 -8.234923492349235
Capital Expenditure Coverage Ratio 32.82276657060519 23.561581676750215 17.40871794871795 130.23487544483984
EBIT Per Revenue -9.717189223255081 -25.115256653992397 -8.167519181585678 -0.9705484921073644
Days of Sales Outstanding 199.63723018749016 155.61074144486693 9.996270247229328 11.299060254284134
Days of Inventory Outstanding 3.0780982644830113 0 0 0
Days of Payables Outstanding 145.56282082620385 125.96789604433403 957.3282887077997 986.0120240480961
Cash Conversion Cycle 57.15250762576932 29.642845400532906 -947.3320184605705 -974.712963793812
Cash Conversion Ratio 4.79759898904802 5.37316448211294 0.6750047224680115 -2.953433943991607
Free Cash Flow to Earnings 4.9437657961246835 5.60121218094018 0.7137786703518488 -2.976111693971431

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