SNOW Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2024
01-31
2023
01-31
2022
01-31
2021
01-31
2020
01-31
2019
01-31
Price Ratios
Price to Earnings Ratio -76.74960637342318 -62.520997685341925 -121.84076330734113 -150.60742554841198 -201.58984800390203 -339.99802648223874
Price to Sales Ratio 22.864909016212067 24.13860235401874 67.94353223483117 137.13858874518831 265.3886627058184 626.1681321103594
Price to Book Ratio 12.387316669201907 9.138221579067363 16.408129325308053 16.44753191662627 -128.97698914202113 -193.7137958843014
Price to Free Cash Flows Ratio 81.16049771266174 100.56922502869106 1457.2114143618517 -862.6423893498794 -352.35207403006933 -408.9863961579211
Price to Operating Cash Flow Ratio 72.21322459544011 91.38298618683781 751.9162755997058 -1787.7174698460926 -397.9492159745806 -420.3939982677001
Price Earnings to Growth Ratio -38.37480318671155 -5.887393948703022 -5.842108394480211 -3.1109074785409683 -2.9645565882926768 0
Liquidity Ratios
Current Ratio 1.8135301677266287 2.5004502093536196 3.291579730196916 5.448939771736707 1.597277016724496 4.823518857182292
Quick Ratio 1.7564796809496088 2.369525316312828 3.1477661114900726 5.324050001013602 1.4731699703449352 4.638604603015769
Cash Ratio 0.6454048176096484 0.4714793001514409 0.7771343783126822 1.0391668693871758 0.3054495683807374 0.8042579621131086
Debt Ratio 0.035019772276203114 0.03258838468533169 0.03102351415056744 0.03454002278722517 0.2086134370803381 0.021798065650644783
Debt to Equity Ratio 0.055591482205305166 0.046121314352445444 0.04085861781782495 0.041433850214049675 -0.38781878892790733 -0.05331763034176409
Long Term Debt to Capitalization 0.04674657203398017 0.039493957973825135 0.03464391029017592 0.036101166917055984 -0.5494450796684699 -0.04182059455061949
Total Debt to Capitalization 0.05266382226689189 0.0440879214673059 0.03925472405030919 0.039785388390759166 -0.6335032534708687 -0.05632050627605161
Interest Coverage Ratio 0 -11.406803992470104 18.77917848513499 0 0 0
Cash Flow to Debt Ratio 3.0856896809164494 2.1681766524410113 0.5340795067305875 -0.2220478446442453 -0.8357102623694188 -8.642376950780312
Margins
Gross Profit Margin 0.664005096759688 0.6526338567982422 0.6240278448685217 0.5902568875211343 0.5597436052396997 0.4646204456582459
Operating Profit Margin -0.3900863320682889 -0.4077473581070254 -0.5864185735245755 -0.9187364559352351 -1.3525616812969314 -1.9186166801150353
Pretax Profit Margin -0.3025926700585678 -0.39502793055388136 -0.5551915113829186 -0.9070870823191999 -1.3127275749014158 -1.833198849647239
Net Profit Margin -0.29791565190528096 -0.3860879264196075 -0.5576420435207291 -0.9105699021533691 -1.3164783114508891 -1.8416816667701157
Operating Cash Flow Margin 0.3166304945431819 0.2641476642562979 0.09036050214585586 -0.07671155596918498 -0.6668907791560276 -1.4894792377878467
Free Cash Flow Margin 0.2817246032320098 0.2400197709302455 0.04662572058192757 -0.15897501727052998 -0.7531917143850001 -1.531024351892082
Return
Return on Assets -0.10167311920167163 -0.103275413793934 -0.10225246319456914 -0.09103778467777793 -0.3441573189035469 -0.23293313515324066
Return on Equity -0.16139909055600554 -0.14616244009826193 -0.134668635355795 -0.10920797468474949 0.6397990296590957 0.5697497655752447
Return on Capital Employed -0.19933403166299263 -0.14702315753459927 -0.13612978702948347 -0.10597947384059347 -0.6005517680896917 -0.2994350829777375
Return on Invested Capital -0.28966880914201115 -0.17189852971682362 -0.17235743558446412 -0.1266205353804316 -0.7655990656232177 -0.3705402648719065
Turnover Ratios
Receivables Turnover Ratio 2.9507760471537225 2.8857200333602955 2.2347180959956305 2.0136556729712907 1.4752561866498755 1.5256869584431572
Payables Turnover Ratio 18.23178206144506 30.311760729976342 34.10706048657094 42.958739153532846 13.731974552309142 6.26701380479535
Inventory Turnover Ratio -1.0173308505106258 10.567443778442144 458433000 242588000 4.422072994916155 0
Fixed Asset Turnover Ratio 5.617561930535317 5.26834213660674 4.1272259549477885 2.3146262891635976 1.1866147943633691 4.247934610652136
Asset Turnover Ratio 0.3412815625880492 0.2674919538449705 0.18336577089666328 0.0999789082227366 0.26142270321510386 0.1264785002512142
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share 2.7091990573199474 1.7119160417908574 0.3669291501636275 -0.15774304651409923 -0.6380964952478259 -0.6040286042292675
Free Cash Flow Per Share 2.410532284962546 1.5555454459887679 0.18933422925514434 -0.32690255369032595 -0.7206712226655715 -0.6208763968324036
Cash & Short Term Investments 11.726330099603356 12.574492517177548 12.8286262431249 13.573550021623548 1.5686957473596146 2.554009572012957
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Effective Tax Rate 0.013227385504160862 0.02263132159221954 -0.004413850153627984 -0.0038395650230895278 -0.0028572086251445867 -0.0046273305945555504
Cash Flow Coverage Ratio 3.0856896809164494 2.1681766524410113 0.5340795067305875 -0.2220478446442453 -0.8357102623694188 -8.642376950780312
Short Term Coverage Ratio 26.1790007070469 19.986044467235633 4.389426716067089 -2.311297709923664 -9.75889896086668 -34.97255282973039
Capital Expenditure Coverage Ratio -9.070975776568705 -10.947813001605136 -2.0661015995649485 0.9325106767411301 7.727503501400561 35.85209163346614
EBIT Per Revenue -0.3900863320682889 -0.4077473581070254 -0.5864185735245755 -0.9187364559352351 -1.3525616812969314 -1.9186166801150353
Days of Sales Outstanding 123.6962731726367 126.48489658748127 163.3315632311923 181.26237017544156 247.41465469049814 239.2364947344464
Days of Inventory Outstanding -358.7820027445316 34.540046547927645 0.0000007961905011201201 0.0000015046086368657972 82.54047375961974 0
Days of Payables Outstanding 20.01998481387452 12.041530785740168 10.701596525555534 8.496524972381156 26.58029976749573 58.241454601665595
Cash Conversion Cycle -255.10571438576943 148.98341234966875 152.62996750182725 172.76584670766903 303.37482868262214 180.99504013278082
Cash Conversion Ratio -1.062819266185622 -0.6841645288053305 -0.16204033249601438 0.08424565295621236 0.5065717933636507 0.8087604197092592
Free Cash Flow to Earnings -0.9456522389148627 -0.6216712683975194 -0.08361227623288839 0.17458848232801957 0.5721261853185476 0.8313186689734199

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.