PRX.AS Financial Ratios


* All Per Share Items In EUR
Period Ending: LTM
(Last Twelve Months)
2023
03-31
2022
03-31
2021
03-31
2020
03-31
2019
03-31
2018
03-31
2017
03-31
Price Ratios
Price to Earnings Ratio 26.780028794205897 4.316882721031201 61.822165965239904 29.830386905679415 80.74112290960426 4.333048015999269 16.590298620961548
Price to Sales Ratio 46.973053107894195 11.778060590311313 90.01433038996718 33.78089760399912 131.34497546010576 21.60879568551959 23.560936352166642
Price to Book Ratio 6.072694170991188 1.6038587892560139 10.692454300658758 3.865649107261755 12.797097609048839 2.0844002707330516 3.841684574926763
Price to Free Cash Flows Ratio -707.0486975639949 -95.47599057033939 8528.024338427262 -362.87222264940993 -1389.3263340501228 -141.37800131747616 -93.78377051242038
Price to Operating Cash Flow Ratio -2256.6637597250833 -133.66638679847517 2896.310152673409 -538.2315264177851 -2404.971792045385 -178.36937800627817 -106.48846848824085
Price Earnings to Growth Ratio -0.3445737339209337 0.007357315520443319 -2.849195474919751 0.23763189568931053 -0.8487042952195616 0.012703313460560108 0
EV to EBITDA
Liquidity Ratios
Current Ratio 5.3055618615209985 3.4590981191932926 1.7831295233341653 4.242664182580345 6.33015873015873 3.4905550712002325 1.7721518987341771
Quick Ratio 4.785471055618615 3.1212327215046454 1.233092088844522 3.7070330693991616 5.909206349206349 3.4405696018599246 1.5780590717299579
Cash Ratio 2.171396140749149 2.1858146385678676 0.8911904167706514 1.8672566371681416 1.3555555555555556 3.1836675385062483 1.504453820909517
Debt Ratio 0.2500230492639602 0.22536376124926408 0.1446131208728108 0.10689520187898445 0.09911794125670638 0.019094464132958573 0.16485851694441336
Debt to Equity Ratio 0.3648778956338439 0.3188552388885583 0.18711834498130905 0.1313745704467354 0.12 0.02617801047120419 0.2619513062022392
Long Term Debt to Capitalization 0.2612527541706012 0.2393186892764468 0.15565880530886705 0.1132104220630809 0.10714285714285714 0.01962797191311132 0.16370662108939585
Total Debt to Capitalization 0.2673337276550999 0.24176666967427593 0.15762400250352057 0.11611943018558454 0.10714285714285714 0.025510204081632654 0.20757639769046612
Interest Coverage Ratio -2.4108108108108106 -2.13151364764268 -3.7251908396946565 -2.6591928251121075 0 -3.1538461538461537 -4.09
Cash Flow to Debt Ratio -0.007375084506176633 -0.037631398892828266 0.0197294949745626 -0.05466910803034266 -0.04434250764525994 -0.4464 -0.13772048846675713
Margins
Gross Profit Margin 0.28742411101474413 0.3003204194581998 0.3246677091477717 0.3462462462462462 0.3973634651600753 0.3990447242726878 0.3809264305177112
Operating Profit Margin -0.2320901994796184 -0.1251092339062045 -0.19077404222048475 -0.17807807807807807 -0.15593220338983052 -0.267042987407729 -0.44577656675749316
Pretax Profit Margin 1.6511708586296618 2.7222545878240605 1.433150899139953 1.1222222222222222 1.697175141242938 4.9474598349978285 0.1901907356948229
Net Profit Margin 1.7540329575021683 2.7283716865715117 1.456020328381548 1.1324324324324324 1.6267419962335217 4.986973512809379 1.4201634877384197
Operating Cash Flow Margin -0.020815264527320035 -0.08811535100495194 0.031078967943706022 -0.06276276276276277 -0.054613935969868174 -0.12114633087277464 -0.2212534059945504
Free Cash Flow Margin -0.06643538594969645 -0.1233614914069327 0.01055512118842846 -0.0930930930930931 -0.09453860640301318 -0.15284411636995224 -0.25122615803814713
Return
Return on Assets 0.15538277144349857 0.26259497042249574 0.13366709732988802 0.10544122581366737 0.13091449183110546 0.3508798729072467 0.14573313946985797
Return on Equity 0.2267620478550445 0.37153170306023287 0.17295502565650467 0.12958762886597938 0.1584954128440367 0.4810471204188482 0.23156211124933357
Return on Capital Employed -0.022052642855965587 -0.012835263354501308 -0.018870478142340635 -0.01763988458220543 -0.013177998472116119 -0.020996210440066915 -0.05193980570194933
Return on Invested Capital -0.02607259375540882 -0.014918942004495384 -0.02008476194199002 -0.019626409832027257 -0.013329312723570056 -0.033425771417307015 -0.06317526037025359
Turnover Ratios
Receivables Turnover Ratio 27.985436893203882 33.169082125603865 34.10666666666667 30 19.666666666666668 2.712603062426384 13.297101449275363
Payables Turnover Ratio 11.539325842696629 8.750455373406194 4.074292452830188 7.481099656357388 6.557377049180328 4.046783625730995 4.47244094488189
Inventory Turnover Ratio 12.679012345679013 10.221276595744682 10.763239875389408 10.220657276995306 10.81081081081081 8.046511627906977 12.085106382978724
Fixed Asset Turnover Ratio 9.298387096774194 11.367549668874172 11.548532731376975 8.83289124668435 18.566433566433567 3.702572347266881 33.36363636363637
Asset Turnover Ratio 0.08858600448692339 0.09624603997869298 0.09180304335343095 0.09311039033665137 0.08047649358916067 0.07035928143712575 0.10261715691757074
Per Share Items ()
Revenue Per Share 0.7663170108896017 2.090722357147351 0.568937402279538 0.939982056493398 0.290580805746867 1.9378204231927851 1.5440297336338522
Operating Cash Flow Per Share -0.01595109129345225 -0.1842247343539394 0.017681987287421142 -0.058995870812949006 -0.015869761519132095 -0.23475983416013335 -0.3416218375233482
Free Cash Flow Per Share -0.05091056637826842 -0.25791462809551513 0.006005203229690199 -0.08750583709097699 -0.027471104422773486 -0.29618445026654816 -0.38790065787749634
Cash & Short Term Investments 2.7746923304960185 4.131201604925447 0.5327949754341804 2.2153090628709275 1.0038445010584798 9.24734973985615 2.7161460382398226
Earnings Per Share 1.3441452929949094 5.704267683722885 0.8283844232955981 1.064466166677659 0.4727000000078036 9.663859123043482 2.1927746516892745
EBITDA Per Share
EBIT Per Share -0.17785466792199256 -0.26156867241327914 -0.10853848800328951 -0.16739019804822372 -0.0453109053029013 -0.5174813548691111 -0.6882922736307853
Dividend Per Share 0.025388820308744828 0.07247187896898771 0.02379839798432783 0.06068953217600018 0.0 0.8304944670826223 0.34667043610743714
Enterprise Value Per Share 35.38439237313533 25.38895886979898 51.57594530286349 30.617273102286504 37.52037478285574 33.15251154598644 36.14318501274253
Price Per Share 35.996249649999996 24.624654599999992 51.21251930000001 31.753437599999998 38.1663288 41.8739656 36.37878628000001
Dividend Ratios
Dividend Payout Ratio 0.018888449367088608 0.012704852399508889 0.02872868841455229 0.057014054627419784 0 0.08593818023508924 0.15809669992325404
Dividend Yield 0.0007053184861091447 0.0029430617462950213 0.0004646988335980539 0.001911274393043989 0 0.01983319361285004 0.009529466800766424
Effective Tax Rate 0.0040970690198550265 0.005189663474399444 0.009138025095471904 0.02006957452502007 0.05725699067909454 0.0034228541337546076 0.03151862464183381
Short Term Coverage Ratio -0.23952095808383234 -2.8271028037383177 1.3361344537815125 -1.9351851851851851 0 -1.8979591836734695 -0.5449664429530201
Capital Expenditure Coverage Ratio 0.45627376425855515 2.5 -1.5142857142857142 2.0693069306930694 1.3679245283018868 3.8219178082191783 7.381818181818182
EBIT Per Revenue -0.2320901994796184 -0.1251092339062045 -0.19077404222048475 -0.17807807807807807 -0.15593220338983052 -0.267042987407729 -0.44577656675749316
Days of Sales Outstanding 13.042497831743278 11.004223711039906 10.7017200938233 12.166666666666666 18.559322033898304 134.5570994355189 27.44959128065395
Days of Inventory Outstanding 28.78773125608569 35.70982514571191 33.91172214182344 35.71198897565457 33.7625 45.36127167630058 30.202464788732396
Days of Payables Outstanding 31.630963972736126 41.71211490424646 89.58610709117221 48.78961874138724 55.6625 90.19508670520231 81.61091549295774
Cash Conversion Cycle 10.199265115092842 5.001933952505354 -44.97266485552547 -0.9109630990660023 -3.340677966101694 89.72328440661717 -23.958859423571397
Cash Conversion Ratio -0.011867088607594937 -0.03229594832648268 0.02134514699959726 -0.05542296473084063 -0.033572586246816395 -0.024292555507183282 -0.15579432079815808
Free Cash Flow to Earnings -0.03787579113924051 -0.04521432765707575 0.00724929520741039 -0.08220631132325644 -0.05811530446862699 -0.030648672181105792 -0.17689946277820412

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