QH 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
Price Ratios
Price to Earnings Ratio 17.378450568161966 -2.446306969413915 -16.22364233669142 -4260.132328086367 -2583.8875552450145 -805.6681492917539 -2325.801351787272
Price to Sales Ratio 0.015649297114065062 0.01051039520067386 0.7707408912638105 9.250499481401576 16.9038280341466 23.28472338555676 49.61670716203738
Price to Book Ratio 0.11446268922132247 0.08012116360769571 6.587761787666608 42.91614892006853 -44.591058526010116 -41.308858633341636 0
Price to Free Cash Flows Ratio -0.4453204583442371 0.6479012923914481 -27.793479274763715 -465.53012824124954 -1579.7928685952722 -2075.614685564283 -646.4338542970692
Price to Operating Cash Flow Ratio -0.5955855573924467 0.5373671104741512 -100.4255696774512 2148.8552265162916 1971.7830078580462 1733.3640891562982 -1135.3877016640365
Price Earnings to Growth Ratio -0.14758583648338555 0.02651889206028013 -0.004434360299378427 64.27568073954869 37.75385301899552 -3.9239226370689786 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.524516663397197 1.4739947534532933 1.260039700717667 1.5764488114158983 1.1534905326490887 1.2106974867851394 0
Quick Ratio 1.4573704745090346 1.3500040988646145 1.2205754141238012 1.4661806373290265 1.097113342771191 1.158931831698198 0
Cash Ratio 0.09848732535582728 0.1956060171332541 0.04694634492338155 0.20978407513936345 0.2804348787825164 0.07212756135396696 0
Debt Ratio 0.10226021768791863 0.06736913103900373 0.13548837716904943 0.09844881770667026 0.209600535558734 0.1582399236823277 0
Debt to Equity Ratio 0.2084715392867091 0.14190221924248048 0.3295211077396107 0.20007945510337252 -0.20007314068675255 -0.08941155520903644 0
Long Term Debt to Capitalization 0.017406377873886745 0.004777904870841673 0.003020949767977509 0.03429928460698519 -0.015562082832710867 -0.006883593133852086 0
Total Debt to Capitalization 0.1725084393876233 0.12426827520890196 0.2478494743869445 0.16672184016860622 -0.2501142927723657 -0.0981909618121301 0
Interest Coverage Ratio -1.5952478492421138 6.272919232799578 -12.13692001138628 0.7626425384234011 3.2090924011160347 -13.26424738052645 -15.710410557184751
Cash Flow to Debt Ratio -0.9218770729488467 1.0507199505034028 -0.19907207526500628 0.0998185117967332 0.11303159933556095 0.26653837872752717 0
Margins
Gross Profit Margin 0.04500042810219461 0.06614214614365385 0.043623560006647986 0.07459324785629318 0.07893611649833714 0.07910476610318927 0.04369106997229697
Operating Profit Margin -0.0021035078180644 0.009331275596289164 -0.021184618507189192 0.0023841352133632462 0.009511190107545083 -0.03520100374709642 -0.03272592325619042
Pretax Profit Margin 0.0013723578869523905 0.0012009282851068665 -0.044519398531132875 0.007681309356364862 0.003955172442308038 -0.02734261347259194 -0.020714658782349474
Net Profit Margin 0.0009005001368036351 -0.004296433494277268 -0.04750726595597473 -0.0021714113011031422 -0.0065420137961629335 -0.028901134302039708 -0.021333166361739885
Operating Cash Flow Margin -0.026275481196320102 0.0195590593391544 -0.0076747475143958965 0.00430485002770448 0.008572864238499185 0.013433255904644026 -0.0437002330475472
Free Cash Flow Margin -0.03514165320913238 0.016222216754467753 -0.027730997031510114 -0.019870893246693867 -0.010700028067082762 -0.011218230217535055 -0.07675449983353748
Return
Return on Assets 0.0032308205160009925 -0.015549200136034187 -0.16695841973152897 -0.004956848703780526 -0.018079140094851967 -0.09074222343361385 0
Return on Equity 0.006586472641641758 -0.032751884620142786 -0.4060593577539437 -0.010073900436643543 0.017257352563773545 0.051272795964014954 0
Return on Capital Employed -0.013588160782767393 0.06279803479795729 -0.15899895211423073 0.009261963180949228 0.06700455081284097 -0.22648548874838 0
Return on Invested Capital -0.01744234326535098 -0.27007354128680855 -0.17922510196048422 -0.0030702674359983054 -0.19596481969260188 -0.26921209363937876 0
Turnover Ratios
Receivables Turnover Ratio 6.6701983915368315 7.657265063476856 7.5101711454036275 6.717570564411174 6.569506181913469 7.878320759152793 0
Payables Turnover Ratio 13.914962278482008 12.16474984741596 11.523130479551488 8.880448726291092 8.151995901427611 9.422879944482998 0
Inventory Turnover Ratio 250.33828943642027 639.4855708908407 271.60166502046 401.52975790181574 115.14217087260566 148.13844643246782 0
Fixed Asset Turnover Ratio 177.5554862842893 224.56959793087233 175.9454060669639 46.148522995493884 80.20400280898876 129.8181898221518 0
Asset Turnover Ratio 3.5878068019722154 3.6190948042708673 3.5143765142420604 2.282777427409675 2.7635435598524527 3.1397460904228134 0
Per Share Items ()
Revenue Per Share 666.6772906128251 787.4147300825941 917.692454127107 531.9284661215355 525.7253376009427 377.06635610909007 167.45201113138188
Operating Cash Flow Per Share -17.517266613510923 15.401091430209702 -7.043057881291885 2.289872272120094 4.506971945992032 5.06522885464504 -7.317691910721857
Free Cash Flow Per Share -23.428142149119868 12.773612427060561 -25.448526721238036 -10.569893765178648 -5.625275867906646 -4.2300171901188275 -12.852695360509166
Cash & Short Term Investments 20.448935552621666 32.93603053217992 47.288777228213725 61.70597751473216 46.8122584317763 23.401270360521952 None
Earnings Per Share 0.6003429914007259 -3.383075020214152 -43.59705948400761 -1.1550354827147622 -3.439302411577783 -10.897645398689543 -3.572281611073689
EBITDA Per Share
EBIT Per Share -1.4023608929300697 7.347583854978329 -19.44096454760898 1.2681893870706513 5.000273630275885 -13.273114214300072 -5.480021665380347
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 8.985833452943123 -10.00233468122649 695.3937594502662 4881.838379247781 8879.831998807842 8775.488280164363 0
Price Per Share 10.433031 8.27604 707.3031 4920.604 8886.770700000001 8779.885800000002 8308.417399999998
Effective Tax Rate -0.18244440070852194 4.577593722755013 -0.06711383179969085 1.2826876513317191 2.654040093469438 -0.0986953070741145 -0.029858448835151874
Short Term Coverage Ratio -1.0074876500378007 1.0875127346819968 -0.2009196269462402 0.12136240496373328 0.12240673987178685 0.2886055660789742 0
Capital Expenditure Coverage Ratio 2.9635654663985864 -5.861546909319109 0.3826611504731705 -0.17806484701809497 -0.4448146185103859 -0.5449268185319688 1.3220754019589724
EBIT Per Revenue -0.0021035078180644 0.009331275596289164 -0.021184618507189192 0.0023841352133632462 0.009511190107545083 -0.03520100374709642 -0.03272592325619042
Days of Sales Outstanding 54.7210110666443 47.66714969042331 48.60075661836111 54.33511959423591 55.55973156778249 46.329669882500546 None
Days of Inventory Outstanding 1.4580270593911722 0.5707712833794416 1.34387983215237 0.9090235351603799 3.1699940797871466 2.463911353130015 None
Days of Payables Outstanding 26.230757417462296 30.004727148378922 31.675420203538888 41.10152665139499 44.77431102928789 38.73550359873829 None
Cash Conversion Cycle 29.948280708573176 18.23319382542383 18.26921624697459 14.142616478001301 13.95541461828175 10.058077636892271 0
Cash Conversion Ratio -29.178764247150568 -4.5523942975508715 0.16154892014851227 -1.9825124910778011 -1.310432002379359 -0.4648003003707702 2.048464457011955
Free Cash Flow to Earnings -39.0245950809838 -3.775740221761911 0.5837211734560477 9.151142041399 1.635586288943416 0.3881588210447271 3.597895339680722

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