TUYA 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 -21.181661946447814 -7.232683977355909 -17.427402072977472 -209.69577953132472 -199.0885537125587
Price to Sales Ratio 5.554902127483803 5.078673310483638 10.120580851342046 78.00551497159123 132.63348741362523
Price to Book Ratio 1.3163177533704593 1.0988088142598946 2.745166241118258 83.02463905325443 -127.44828463208378
Price to Free Cash Flows Ratio 35.05671707323766 -14.814718631102517 -23.108669810500697 -267.7089979394032 -237.6149703640982
Price to Operating Cash Flow Ratio 35.05671707323766 -14.963591309621535 -24.243551551112976 -285.1225132592307 -248.06258508212082
Price Earnings to Growth Ratio 0.3671488070717622 0.2603766231848128 -0.08713701036488736 27.26045133907219 0
EV to EBITDA
Liquidity Ratios
Current Ratio 9.685356547170242 12.590315198937034 10.919246915617151 2.6981224436515534 5.296113902182331
Quick Ratio 9.183631503187334 11.924337491695578 10.084199527030743 2.192563745539988 4.706110129271829
Cash Ratio 5.697077706948157 1.638259393223592 8.835524024271756 1.7273518405708816 4.234754462955976
Debt Ratio 0.007302138034508627 0.008656057583329466 0.0174217842406762 0.04494188678115987 0.03211478718987559
Debt to Equity Ratio 0.008023161766599868 0.009501469079691988 0.01952569049288787 0.07108875739644971 -0.08150381949806074
Long Term Debt to Capitalization 0.004006284448248226 0.00546999924544606 0.014205428123525616 0.03256090859131709 -0.04967439909232192
Total Debt to Capitalization 0.007959302991152469 0.009412040864441697 0.01915173955395691 0.06637055697349377 -0.08873615506329113
Interest Coverage Ratio 0 7.039722071072789 0 0 0
Cash Flow to Debt Ratio 4.6799794529343774 -7.728505797418508 -5.799172223499655 -4.096137839187614 -6.3036888443107095
Margins
Gross Profit Margin 0.46373755380668724 0.4295630536287301 0.4232941378990718 0.3443354792799404 0.26265490741003317
Operating Profit Margin -0.5075220661767903 -0.8079184520492669 -0.6076616480620771 -0.38830514693618867 -0.6942120636361059
Pretax Profit Margin -0.24812383147093353 -0.6931527775109044 -0.5791059203644116 -0.3708484828268677 -0.6650313359612058
Net Profit Margin -0.26225053263185355 -0.7021837711123494 -0.5807280287080072 -0.37199372894359384 -0.6662034805130969
Operating Cash Flow Margin 0.15845471542240966 -0.3394020329343043 -0.41745454786212743 -0.2735859546126733 -0.5346775184565503
Free Cash Flow Margin 0.15845471542240966 -0.34281267413485006 -0.4379560110700619 -0.29138174499927727 -0.5581865789448809
Return
Return on Assets -0.056559452363090776 -0.13840507736197602 -0.1405472098706085 -0.2503039394290802 -0.2522404833144837
Return on Equity -0.06214421496757044 -0.15192269117523258 -0.15752010710620198 -0.3959289940828402 0.6401587748539871
Return on Capital Employed -0.1192451265035255 -0.17252376502399838 -0.16115155409937387 -0.3982211579577525 -0.3206356829443996
Return on Invested Capital -0.25692686891096794 -0.20242138800857823 -1.0511675931821185 -4.219821530978826 -4.660128014315969
Turnover Ratios
Receivables Turnover Ratio 16.23191474345402 13.934801526206574 8.8600926849299 8.25488756310234 14.95462256149279
Payables Turnover Ratio 10.65345080763583 12.376133402813966 14.26539469374386 5.092491040200354 6.406291064388962
Inventory Turnover Ratio 3.7527765099650083 2.6167695019832524 2.7836917963631715 2.7902855655712493 3.3886354750423564
Fixed Asset Turnover Ratio 22.468737788198514 15.348521713485217 10.421444835437798 10.80908599242834 9.200643590189598
Asset Turnover Ratio 0.2156695423855964 0.197106630850674 0.24201898810239153 0.6728713952783711 0.3786237849136018
Per Share Items ()
Revenue Per Share 0.4140486991877619 0.37608246942312423 0.6175534874731242 0.32049016033167316 0.1884893512754893
Operating Cash Flow Per Share 0.06560796880081572 -0.1276431546731617 -0.257800511893773 -0.08768160645830951 -0.10078101859546364
Free Cash Flow Per Share 0.06560796880081572 -0.12892583703817917 -0.27046126199613485 -0.09338498217254107 -0.1052122261560053
Cash & Short Term Investments 1.4217088233586965 1.7240244613019058 2.1794398810148716 0.3203012950315455 0.4096613082136307
Earnings Per Share -0.10858449189751666 -0.2640790066287742 -0.35863061940202245 -0.11922032983150936 -0.1255722618593867
EBITDA Per Share
EBIT Per Share -0.21013885130958523 -0.3038439665391963 -0.37526356996440197 -0.12444797879919302 -0.1308515815223883
Dividend Per Share 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 0.8923100349419908 0.20249142909385442 4.115014827684606 24.701104626815 24.60632631761698
Price Per Share 2.3 1.91 6.250000000000001 25.000000000000004 24.999999999999996
Effective Tax Rate -0.056934076332667435 -0.013028864479018677 -0.002801056398413116 -0.003088177974994753 -0.001762540332324137
Short Term Coverage Ratio 9.385269121813032 -18.35168831168831 -22.134983324556785 -7.7791653493518815 -15.031357959075207
Capital Expenditure Coverage Ratio 0 99.51267605633802 20.36218310996286 15.373633239612621 22.74346602332127
EBIT Per Revenue -0.5075220661767903 -0.8079184520492669 -0.6076616480620771 -0.38830514693618867 -0.6942120636361059
Days of Sales Outstanding 22.48656463324492 26.193412178390943 41.19595730875673 44.216229138174505 24.407168987323825
Days of Inventory Outstanding 97.26132079296225 139.48496408390807 131.12083761458936 130.8109838303501 107.71297257797778
Days of Payables Outstanding 34.26119917298415 29.492248355775626 25.586393355107944 71.6741565412042 56.9752445418766
Cash Conversion Cycle 85.48668625322303 136.1861279065234 146.73040156823816 103.3530564273204 75.14489702342499
Cash Conversion Ratio -0.604211224405206 0.4833521463998632 0.7188469080627509 0.735458512673362 0.8025738893539737
Free Cash Flow to Earnings -0.604211224405206 0.4882093381221139 0.754149945275447 0.7832974653275945 0.8378619975311095

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