TME 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
2016
12-31
Price Ratios
Price to Earnings Ratio 20.62795902974246 24.87940602207847 23.92883447383604 50.06586664760089 33.57401952907697 76.27245420665575 111.61415312151071 1926.0273096279805
Price to Sales Ratio 3.657017815881122 3.2281158807008903 2.319819473218838 7.1355838480012945 5.256418407045077 7.364098423007637 13.477858759595957 36.21514317576115
Price to Book Ratio 1.8153282849434398 1.9019434072056078 1.440476173485092 3.981695395172394 3.0670278909104036 3.706354777466133 5.661618417012479 7.657417667369425
Price to Free Cash Flows Ratio 16.440881002159873 14.231732411820555 29.214203797359684 47.45065600382795 22.605976625766736 25.4751108893586 61.08145564965877 189.8248069585269
Price to Operating Cash Flow Ratio 13.832568955476749 12.228522382459904 13.834785192068978 42.58417111991438 21.56318480077169 24.823758622301135 59.20014681564928 180.90978166036012
Price Earnings to Growth Ratio 0.11861076442101914 -0.6758286411967583 -0.8797365615380897 17.380007993381465 0.32220228419033536 1.6903624986339925 0.07324905435524746 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.491759613783919 2.266706494836562 2.563732057416268 3.300041657987919 3.1700824499411073 3.3308752805386344 2.117096682733201 1.9805786761791517
Quick Ratio 2.217246545696687 2.0101561833233763 2.3000956937799044 3.0017704644865653 2.9055359246171966 3.03302340493748 1.8361213495888857 1.6413000396353548
Cash Ratio 1.1292658565007492 0.8154817786122728 0.6307177033492823 1.1589252239116852 1.8169611307420495 2.7823020198781663 1.466969095548625 1.2172017439556084
Debt Ratio 0.0800677822495234 0.08901789311883479 0.07968299283314004 0.08050034420634804 0.0027905387448270624 0.007577625826701043 0.007633333333333333 0.0031442532398555344
Debt to Equity Ratio 0.10817965549931136 0.12401505228798936 0.10650475982272394 0.1051966695377548 0.003372333103922918 0.008960525966968003 0.008760185149764737 0.003587878787878788
Long Term Debt to Capitalization 0.0959411384217335 0.10830351680539849 0.09475748416810593 0.09356674416183768 0.001786205001374004 0 0 0
Total Debt to Capitalization 0.09761923977080139 0.11033219887540692 0.09625332279617789 0.09518366498675118 0.0033609986967556072 0.008880948001786699 0.008684110731892302 0.003575051934876081
Interest Coverage Ratio 48.86290322580645 41.138888888888886 22.74380165289256 48.55670103092783 72.21875 0 0 0
Cash Flow to Debt Ratio 1.213128306878307 1.254149203688181 0.977607762642284 0.8888282387190685 42.17687074829932 16.662721893491124 10.91703056768559 11.797297297297296
Margins
Gross Profit Margin 0.35294753531277023 0.3095733794417587 0.3009857892715401 0.319075223819161 0.3410002359046945 0.3833026073215697 0.3469629359803297 0.2825040128410915
Operating Profit Margin 0.2183266070913808 0.1567804086241575 0.08808091153501472 0.16156141734984392 0.18172524966580167 0.10740057940479326 0.1450687551224843 0.023618436138500343
Pretax Profit Margin 0.2178221389449409 0.1543103144077067 0.11624631929330431 0.15888587795424142 0.1785012188409216 0.10550434553594944 0.14543302067206995 0.02614079339601009
Net Profit Margin 0.1772845200345921 0.12975052048413846 0.09694661374983997 0.14252392549651838 0.1565620822521035 0.09654990782196471 0.12075402968764229 0.01880302682870901
Operating Cash Flow Margin 0.26437734217353703 0.2639824976181234 0.1676801945973627 0.16756423009638802 0.2437681843202013 0.2966552541480116 0.22766596849102996 0.20018344416418252
Free Cash Flow Margin 0.22243441914096282 0.22682522319065596 0.07940724619126872 0.15037903474771033 0.23252339388220492 0.28907031867263633 0.22065385666150622 0.190781930749828
Return
Return on Assets 0.06513450540139801 0.054873225984569236 0.04503821334047046 0.060858611749886486 0.0755913284483086 0.04109404775249412 0.0442 0.0034841725090291055
Return on Equity 0.08800329117999535 0.07644649576914281 0.060198342508496136 0.07952914154464542 0.0913512273457215 0.048593621590095705 0.050724914884663935 0.003975757575757576
Return on Capital Employed 0.09538427631371808 0.08035520509296101 0.04844729244419407 0.08027816127217877 0.10459853353851724 0.0531446294993093 0.060174517432856116 0.004901960784313725
Return on Invested Capital 0.10473604904463643 0.08528001601296742 0.0485140350564744 0.08931538278028978 0.14077015776138793 0.08875953596139506 0.061772679730172766 0.004280600056520544
Turnover Ratios
Receivables Turnover Ratio 8.960929932192444 10.613857677902622 8.654847645429363 10.411785714285715 11.571428571428571 12.801753202966959 8.43394777265745 5.3906056860321385
Payables Turnover Ratio 3.587095485417499 3.914765906362545 5.045045045045045 5.568302945301543 6.549824150058616 6.397814207650273 6.862200956937799 3.135270541082164
Inventory Turnover Ratio 2244.625 1397.5714285714287 910 1102.8333333333333 644.6538461538462 334.51428571428573 239.03333333333333 223.5
Fixed Asset Turnover Ratio 32.382730455075844 39.30513176144244 59.39923954372624 59.86242299794661 77.77981651376147 113.00595238095238 86.46456692913385 40.379629629629626
Asset Turnover Ratio 0.3674009743698369 0.4229133399991046 0.46456716329140274 0.42700628359673665 0.4828201526253844 0.42562492994058965 0.3660333333333333 0.18529849160824305
Per Share Items ()
Revenue Per Share 17.486016262295042 17.689785035722263 18.815638675295496 17.596351283177746 15.542871147871198 12.342690547973104 6.758254528757996 2.6839766869969606
Operating Cash Flow Per Share 4.622906504628809 4.669793636057667 3.1550099545472126 2.9485190552712686 3.788857478839405 3.6615240013792216 1.5386245625985784 0.5372876972594236
Free Cash Flow Per Share 3.8894918703930275 4.012489438922429 1.4940980525351468 2.646122321045904 3.6140811499768133 3.5679054899803213 1.4912349260705422 0.5120542544328069
Cash & Short Term Investments 14.832743904247895 13.035596912417093 12.300865304749259 15.707126177139044 13.731552830567972 11.336291550434924 3.184337394754018 2.050678817031385
Earnings Per Share 3.100000000378049 2.2952588156374873 1.8241124551104233 2.5079010592941913 2.4334242710868565 1.1916856346818383 0.816086468002286 0.05046688565323337
EBITDA Per Share
EBIT Per Share 3.8176626020915845 2.7734117263740434 1.6572986056335042 2.8428914534959415 2.824532139870279 1.3256121162663768 0.9804115712878142 0.06339133197906144
Dividend Per Share 0.0 0.046192317747395725 0.06383490268791842 0.0 0.0776104677117104 0.012352442476243824 0.0 0.0
Enterprise Value Per Share 52.9246608035339 47.79255443032907 34.575295577369175 113.17042410490207 68.05811375804322 79.77623989993195 88.04340061518 95.19546447002153
Price Per Share 63.946673 57.104676000000005 43.64888499999999 125.56024 81.69983400000001 90.89278800000001 91.0868 97.2006
Effective Tax Rate 0.13647642679900746 0.12211296592728105 0.11481277533039648 0.09844559585492228 0.12400881057268723 0.0853719420868697 0.17407639323731997 0.2543859649122807
Short Term Coverage Ratio 63.8 60.82113821138211 56.94565217391305 47.42718446601942 89.85507246376811 16.662721893491124 10.91703056768559 11.797297297297296
Capital Expenditure Coverage Ratio -6.303264604810996 -7.104463437796771 -1.8995649021029732 -9.750499001996008 -21.678321678321677 -39.111111111111114 -32.467532467532465 -21.29268292682927
EBIT Per Revenue 0.2183266070913808 0.1567804086241575 0.08808091153501472 0.16156141734984392 0.18172524966580167 0.10740057940479326 0.1450687551224843 0.023618436138500343
Days of Sales Outstanding 40.73237964831364 34.38900455203077 42.17289719626168 35.056426439817514 31.54320987654321 28.511719778772715 43.27747928239687 67.71038752579683
Days of Inventory Outstanding 0.16261068107144847 0.26116733108453444 0.4010989010989011 0.33096569442345475 0.5661953344072549 1.0911342671677484 1.5269836842839213 1.633109619686801
Days of Payables Outstanding 101.75363368045888 93.23673719717878 72.34821428571429 65.54959447886756 55.726686951852514 57.05073454048514 53.189931669223256 116.4173857462448
Cash Conversion Cycle -60.85864335107379 -58.58656531406348 -29.774218188353714 -30.162202344626593 -23.61728174090205 -27.447880494544673 -8.385468702542468 -47.073888600761165
Cash Conversion Ratio 1.491260162601626 2.0345390263802012 1.7296137339055795 1.1756919374247894 1.55700652938222 3.072558647026732 1.885369532428356 10.646341463414634
Free Cash Flow to Earnings 1.2546747967479674 1.748164264345934 0.8190822053482998 1.0551143200962694 1.4851833249623303 2.9939989088925265 1.8273001508295625 10.146341463414632

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