SOND Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
Price Ratios
Price to Earnings Ratio -0.3499822884902608 -0.6385410013899 -0.4797547823697516 -0.960700028628686 -1.1857142538826024 -1.277492404340377
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Price to Sales Ratio 0.5592547129822992 0.7355170605388716 1.3737410126058076 1.9919864063694173 2.8374645037984036 1.8437622195479797
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Price to Book Ratio -0.466982096965042 -0.8475795938268712 -1.7129802883493241 -13.458565999899735 9.029621139250212 2.1874099861140994
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Price to Free Cash Flows Ratio -5.701187752645252 -4.226819710843373 -3.859966078194089 -9.000503436483722 -8.792785984820206 -4.690773586092646
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Price to Operating Cash Flow Ratio -6.834410322041624 -4.5615678439716305 -4.6732430513918635 -10.77149685029892 -10.8796411244881 -5.4662264796442015
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Price Earnings to Growth Ratio -0.008564272471291086 0.013506939680874828 -0.021489016293645125 0.12227091273456012 -0.01647050175188462 0.004908972325301903
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.7084181178743022 0.8540070108392149 0.9698354465684066 1.2485187978024346 1.4346622602102015 1.639165014021819
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Quick Ratio 0.5319407409207145 0.6441830892099013 0.8043809401214306 1.0386528939798356 1.354574354758889 1.5060911767241911
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Cash Ratio 0.5042883261557525 0.5969440276665747 0.7793868400163052 0.9839730929895747 1.3308449156594166 1.476089000570727
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Debt Ratio 1.0367637590985919 1.0135080252683848 0.9918104978113128 0.951844546177838 0.9106948500912216 0.8744528393358018
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Debt to Equity Ratio -9.23480445071826 -11.930259458826285 -15.58449605998327 -75.09069032937283 35.66658148271192 13.334708885020829
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Long Term Debt to Capitalization 1.1389841193361525 1.1043085943555513 1.078101973702784 1.015116620097443 0.9696246846497186 0.9221650865559676
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Total Debt to Capitalization 1.1214357919467994 1.0914891365357746 1.0685659618191257 1.013496972366629 0.9727272093671592 0.930239252989298
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Interest Coverage Ratio -8.863459442628056 -6.825670186839967 -14.475731557736113 -12.87169889789977 -14.899805447470817 -14.524646280237334
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Cash Flow to Debt Ratio -0.007398973607367728 -0.015574584340240234 -0.02352021206096753 -0.016639360569996407 -0.02326984406761202 -0.030009518683165717
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Margins
Gross Profit Margin 0.31190955648369134 0.4076097660146249 0.23774619423876492 0.33182705221527203 0.38258676902815475 0.34729892352582387
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Operating Profit Margin -0.353831046141607 -0.2669072381085494 -0.6842336298431314 -0.45930443944824106 -0.49200970078537815 -0.5246121890506256
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Pretax Profit Margin -0.39715095465393796 -0.2868115601354485 -0.7151849459159503 -0.5185984907508403 -0.5949199363988243 -0.35985229389558365
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Net Profit Margin -0.3994878679395386 -0.2879678278050609 -0.7158558200400869 -0.5183684675259147 -0.5982606042111688 -0.360816669688927
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Operating Cash Flow Margin -0.08182925616547335 -0.16124216183935502 -0.29395881992413325 -0.18493125273616337 -0.26080497245555145 -0.33730073688201645
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Free Cash Flow Margin -0.09809442124105013 -0.17401193115760183 -0.355894581656148 -0.22131944289858946 -0.3227036924015868 -0.39306143980481695
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Return
Return on Assets -0.03744952185963479 -0.028190904799488013 -0.05680793448398249 -0.044394679247489216 -0.048611709249790545 -0.028071442221244646
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Return on Equity 0.3335755210495724 0.33184227480379525 0.8926332531215466 3.5022810447686368 -1.9038358334824053 -0.4280671217069879
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Return on Capital Employed -0.04104332078170476 -0.03205542478473682 -0.06652713735128371 -0.04678862953156192 -0.04734431965529552 -0.04836894362263606
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Return on Invested Capital -0.046899072720359064 -0.037224515716638346 -0.08076616000558079 -0.05748382667536678 -0.063077325912164 -0.0667293020394739
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Turnover Ratios
Receivables Turnover Ratio 17.671169686985174 11.209443099273608 17.272961373390558 9.833564392557461 22.00883704489219 16.603530860818392
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Payables Turnover Ratio 5.396850931071463 4.690813965187645 6.530405165685092 5.599365750528541 8.324382849718493 5.134344809699799
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Inventory Turnover Ratio 2.32703463931394 1.8335266935404582 2.74201525443928 1.7466250290945768 8.877034984412886 5.9033099746533475
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Fixed Asset Turnover Ratio 0.1095996414251986 0.11743556648151394 0.09764978296543542 0.10829934137568586 0.10596316145073699 0.10597538637314566
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Asset Turnover Ratio 0.09374382769817349 0.09789602197705147 0.07935667056642962 0.08564309372323038 0.08125507330352645 0.07779973759373714
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Per Share Items ()
Revenue Per Share 14.680251787631967 14.438822115450769 11.021000218433745 12.44988415618776 11.700586899168762 11.281281164932086
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Operating Cash Flow Per Share -1.2012740841037843 -2.3281468923091713 -3.2397202185943983 -2.3023726734239145 -3.051571243951496 -3.805184449904805
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Free Cash Flow Per Share -1.4400508027806493 -2.512527319950678 -3.9223142621717937 -2.7554014255994503 -3.7758225956273934 -4.434236617531168
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Cash & Short Term Investments 15.150049771761573 16.27721423005944 19.896183269654678 22.78298592506919 29.81607886860438 33.42856677925755
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Earnings Per Share -23.45832994982678 -16.63166496260013 -31.557788596115458 -25.814509483672857 -28.00000075168796 -16.281897199020854
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EBITDA Per Share
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EBIT Per Share -5.194328847640015 -3.853826132375607 -7.540938983960865 -5.718287063553357 -5.756802259273338 -5.918297607230612
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Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 155.416805090862 143.82651139938875 132.98578139446533 140.38607361532465 134.52236946327787 114.17068282148261
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Price Per Share 8.21 10.620000000000001 15.14 24.8 33.199999999999996 20.8
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Effective Tax Rate -0.005884194053208138 -0.004031454203123269 -0.0009380428488708744 0.0004435478101615373 -0.005615323353535899 -0.0026799212057354894
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Short Term Coverage Ratio -0.06571663879807332 -0.13832042597023222 -0.20584380183503265 -0.1573958293862807 -0.22161037188672808 -0.26911037457912457
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Capital Expenditure Coverage Ratio 5.030951471150172 12.626865671641792 4.746188820540252 5.082177814029364 4.213414634146342 6.049076127124907
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EBIT Per Revenue -0.353831046141607 -0.2669072381085494 -0.6842336298431314 -0.45930443944824106 -0.49200970078537815 -0.5246121890506256
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Days of Sales Outstanding 5.09304146778043 8.028944810454693 5.210455697460618 9.152327315628966 4.089266498562549 5.4205337861228795
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Days of Inventory Outstanding 38.675831669843106 49.085732057826775 32.822574511316596 51.52794589612322 10.138520368347121 15.245684266356852
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Days of Payables Outstanding 16.676391686462953 19.186435588348846 13.781687003574804 16.073249008872946 10.811612299047917 17.529013600717292
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Cash Conversion Cycle 27.092481451160584 37.92824127993262 24.25134320520241 44.607024202879245 3.416174567861754 3.1372044517624396
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Cash Conversion Ratio 0.20483539734893272 0.5599311668541928 0.4106397010331941 0.35675636988262244 0.4359387374327172 0.9348258138206739
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Free Cash Flow to Earnings 0.2455504387329641 0.604275597326097 0.497159583945575 0.4269539078156313 0.5394032134659525 1.0893660765276985
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