SERA 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
Price Ratios
Price to Earnings Ratio -5.148167842834281 -0.8811606834361653 -5.835769173567406 -16.907445318646733 -17.87363232056363
Price to Sales Ratio 609.7382318954249 145.48028641791043 2578.2712880487807 14612.76684 10147.75475
Price to Book Ratio 2.659424427150147 0.3940523004153907 1.5257804741491297 -2.9092870191924822 -3.426237723214286
Price to Free Cash Flows Ratio -6.830425353638893 -1.1013450682184118 -6.418283109289618 -21.467895104895106 -18.798907579889878
Price to Operating Cash Flow Ratio -6.862582718846551 -1.1265159422132331 -6.682837451637375 -21.65752732985535 -18.904945715172843
Price Earnings to Growth Ratio 0.2726622227871489 -0.041590784258186984 -0.08510496711452467 -3.775996121164445 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.50967557173833 5.8002960483974775 13.107953869932231 1.2215797900729408 3.6504065040650406
Quick Ratio 2.4771509225545145 5.716115330158321 12.871002258946618 1.2039672656111011 3.6231368563685638
Cash Ratio 0.1587366526203821 1.922898699961385 7.006539055998098 1.203789361323608 3.622967479674797
Debt Ratio 0.019467524439182322 0.019874665818497537 0.0008705765529249331 0.5861719383617194 0.4004901328517993
Debt to Equity Ratio 0.02648308104563984 0.02336698907451765 0.0009237608614070033 -0.06906904515409731 -0.08736307022809124
Long Term Debt to Capitalization 0.011831319192089918 0.0183349703842605 0.00038955979742890534 -0.003797114193213158 -0.05518169582772544
Total Debt to Capitalization 0.025799822261719618 0.022833440323934622 0.0009229083148270989 -0.07419352079180817 -0.09572598629109332
Interest Coverage Ratio -718.5636363636364 -748.3934426229508 -47.44638069705094 -9.77215878194671 -8.397058823529411
Cash Flow to Debt Ratio -14.632938643702907 -14.969723183391004 -247.15625 -1.9448864291479304 -2.0745034889962426
Margins
Gross Profit Margin -2.627450980392157 0.2798507462686567 0.5487804878048781 0.56 0.5
Operating Profit Margin -129.15359477124184 -170.34328358208955 -431.6463414634146 -718.84 -459.97222222222223
Pretax Profit Margin -118.43790849673202 -164.87313432835822 -426.9390243902439 -793.92 -458.9166666666667
Net Profit Margin -118.43790849673202 -165.1007462686567 -441.8048780487805 -864.28 -567.75
Operating Cash Flow Margin -88.84967320261438 -129.1417910447761 -385.8048780487805 -674.72 -536.7777777777778
Free Cash Flow Margin -89.26797385620915 -132.09328358208955 -401.7073170731707 -680.6800000000001 -539.8055555555555
Return
Return on Assets -0.3797319810144487 -0.38036087304111615 -0.246400369995035 -1.4603271154366044 -0.8787566103443828
Return on Equity -0.516576869352034 -0.4471968709256845 -0.2614531913051009 0.17207135462291948 0.1916923019207683
Return on Capital Employed -0.5566494830840305 -0.45293726622416686 -0.25534201907400195 -5.056555993247046 -0.9541342552578508
Return on Invested Capital -0.5888286301737238 -0.6446635152046778 -0.4596471196003781 1.96048237473624 5.077078513794202
Turnover Ratios
Receivables Turnover Ratio 0.026678291194420226 0.04384099460166858 0.026089723194400255 12.5 36
Payables Turnover Ratio 1.0611854684512427 0.12467700258397933 0.030910609857978277 0.024943310657596373 0.02406417112299465
Inventory Turnover Ratio 0 193000 0 0 18000
Fixed Asset Turnover Ratio 0.0962566844919786 0.08761033017325924 0.046249294980259446 0.025906735751295335 0.022018348623853212
Asset Turnover Ratio 0.0032061692563992413 0.0023038107436666694 0.0005577131042175354 0.0016896458502297918 0.001547787953050432
Per Share Items ()
Revenue Per Share 0.009807487356353964 0.008660967276215632 0.0026645760792686685 0.0008143563864596639 0.0011726731965019158
Operating Cash Flow Per Share -0.871392046550822 -1.118492826230683 -1.0280064493139465 -0.5494625410720644 -0.6294649124778617
Free Cash Flow Per Share -0.8754945249221074 -1.1440556065123493 -1.0703797079403652 -0.554316105135364 -0.6330155063228259
Cash & Short Term Investments 1.5730119998774386 2.672748647806484 3.4156940801503186 0.4408273991183452 0.6967633242548883
Earnings Per Share -1.161578290094707 -1.4299321607116158 -1.177222709752992 -0.7038319376893584 -0.6657852073139627
EBITDA Per Share
EBIT Per Share -1.2666722477466177 -1.4753376048275972 -1.1501545161672502 -0.5853919448426648 -0.5393970961354229
Dividend Per Share 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 4.46653803773075 -1.3380316465280866 3.4584652581197597 11.741689118472243 11.506665865339983
Price Per Share 5.98 1.2599999999999998 6.87 11.900000000000002 11.9
Effective Tax Rate 0 -0.0013805277689765989 -0.03481961781256249 -0.0886235388956066 -0.23715271472671146
Short Term Coverage Ratio -26.707269155206287 -74.59051724137932 -427.5135135135135 -2.0575750182971455 -5.168226798609254
Capital Expenditure Coverage Ratio 212.40625 43.75474083438685 24.26073619631902 113.20805369127517 177.28440366972478
EBIT Per Revenue -129.15359477124184 -170.34328358208955 -431.6463414634146 -718.84 -459.97222222222223
Days of Sales Outstanding 13681.535947712418 8325.541044776119 13990.182926829268 29.2 10.13888888888889
Days of Inventory Outstanding 0 0.0018911917098445596 0 0 0.02027777777777778
Days of Payables Outstanding 343.954954954955 2927.5647668393785 11808.243243243243 14633.181818181818 15167.77777777778
Cash Conversion Cycle 13337.580992757463 5397.978169128451 2181.9396835860243 -14603.981818181817 -15157.618611111113
Cash Conversion Ratio 0.7501793499255008 0.7821999231586322 0.8732472121011372 0.7806729300689592 0.9454474289348795
Free Cash Flow to Earnings 0.753711163843055 0.8000768413677765 0.9092414706856574 0.7875688434303699 0.9507803708596311

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