SKYH 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 -9.826603202077022 22.513272727272728 16.82628312081726 -58.683083151568404 -70.08228727187344
Price to Sales Ratio 20.985473267326732 20.13382113821138 -0.05977247370430512 250.91461245398162 0
Price to Book Ratio 2.2986763068469385 1.4135583545797026 1.2652411044308625 -26.430666520398155 -34.48404290775804
Price to Free Cash Flows Ratio -2.488688219178082 -0.5056889651229274 -8.473162041688504 -13.29569993615166 -25.0943383108393
Price to Operating Cash Flow Ratio -20.551384615384617 -1.3512385871739843 -77.42971083686292 -165.1846039002628 -98.88688813200376
Price Earnings to Growth Ratio 0.010719930765902207 -0.2814159090909091 -0.037148936760245894 -2.7385438804065267 0
Liquidity Ratios
Current Ratio 8.742029755579171 12.125415533393774 20.060927422581997 0.2626893673625915 0.3609727694166353
Quick Ratio 8.442561105207226 2.051375037775763 0.03138265464673856 -33.458205102082005 0.3609727694166353
Cash Ratio 3.8398512221041443 0.16424901783016016 0.0165295882456005 -33.460922226985176 0.3609727694166353
Debt Ratio 0.4319851615742456 0.6575041364234732 1.6027671382734643 1.0136201288443716 1.0406281210281534
Debt to Equity Ratio 2.512385221603644 8.28676890292629 1.8538778142962824 -8.10145595550979 -7.421434673585657
Long Term Debt to Capitalization 0.712834120231377 0.8914180646227584 0.6485757279293779 1.1276692553618335 1.1557284393335752
Total Debt to Capitalization 0.7152931877035311 0.8923199219822411 0.6495995746592316 1.140816194068504 1.1557284393335752
Interest Coverage Ratio -31.410351201478743 3.8295407529995864 -8.001794827586206 -5.408281062830745 -7.848238755440915
Cash Flow to Debt Ratio -0.04451952297633299 -0.1262398515851732 -0.008814233432600193 -0.019750380805932104 -0.046988501745752836
Margins
Gross Profit Margin -0.24699669966996698 -1.7349593495934958 1.0019800821256835 -1.8315246880086815 0
Operating Profit Margin -2.243300330033003 -10.03360433604336 0.0036459600589821726 -3.121438864870857 0
Pretax Profit Margin -3.3585478547854786 -7.413550135501355 -0.0011575365280177103 -3.698598008156407 0
Net Profit Margin -2.1355775577557754 0.8943089430894309 -0.003552327823983622 -4.275757151441957 0
Operating Cash Flow Margin -1.021122112211221 -14.900271002710028 0.0007719578577561792 -1.518995151663662 0
Free Cash Flow Margin -8.432343234323433 -39.81463414634146 0.0070543291170664145 -18.871861854503234 0.0
Return
Return on Assets -0.04022138294724751 0.004981823891015809 0.0650091402826452 -0.05635174163198526 -0.06899499668425639
Return on Equity -0.2339237943749548 0.06278777731268313 0.0751943311155583 0.45039669187340153 0.4920507627552523
Return on Capital Employed -0.04432428484606617 -0.0582196950636542 -0.07022314421206773 -0.041978152410568105 -0.061064875815393764
Return on Invested Capital -0.034730873505665824 0.007071488055661504 -0.21569266980642082 -0.028836466370093773 0
Turnover Ratios
Receivables Turnover Ratio 20.64032697547684 22.228915662650603 -24717.02912621359 242.51715599575522 0
Payables Turnover Ratio 0 0.3557529610829103 4.290285792098589 12.611623616236162 0
Inventory Turnover Ratio 0 0.03281161606637752 5041000 0.05597486877227316 0
Fixed Asset Turnover Ratio 0.03383947357840707 0.012652845690145867 -26.297427951657887 0.014182130816357255 0
Asset Turnover Ratio 0.018833960303232977 0.005570584896317677 -18.300433829258246 0.013179359733510868 0
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share -0.4700413223140496 -1.968564267812388 -0.1313449306484849 -0.061264789581178994 -0.10187700503379024
Free Cash Flow Per Share -3.881562955760817 -5.260150375939849 -1.2002602983352548 -0.7611483448481883 -0.4014570886552719
Cash & Short Term Investments 9.633082158483228 1.938345864661654 0.007660716077057878 -2.048049247756671 0.07490040737124434
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Effective Tax Rate 0.3641366298494556 1.1206316712969733 -2.0688688762738305 -0.15604808687312283 -0.11301684184155687
Cash Flow Coverage Ratio -0.04451952297633299 -0.1262398515851732 -0.008814233432600193 -0.019750380805932104 -0.046988501745752836
Short Term Coverage Ratio -3.71875 -13.56240749876665 -1.965292 0.21880278131739647 0
Capital Expenditure Coverage Ratio 0.13778054862842892 0.598059477451215 0.12287682881080406 0.08753568950167168 0.34006601441006157
EBIT Per Revenue -2.243300330033003 -10.03360433604336 0.0036459600589821726 -3.121438864870857 0
Days of Sales Outstanding 17.683828382838282 16.420054200542005 -0.014767146898447436 1.5050481624746936 0
Days of Inventory Outstanding 0 11124.1091954023 0.0000724062685975005 6520.783487406776 0
Days of Payables Outstanding 0 1025.9928656361474 85.07591747669113 28.941555116670326 0
Cash Conversion Cycle 17.683828382838282 10114.536383966693 -85.09061221732098 6493.34698045258 0
Cash Conversion Ratio 0.4781479878840329 -16.661212121212124 -0.21731042178716958 0.35525758312803046 0
Free Cash Flow to Earnings 3.9485071397663356 -44.519999999999996 -1.9858328022090055 4.413688894407598 0

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