UBER 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 66.42026076841547 -5.275370430502974 -148.88265249530957 -13.236742671009772 -4.379100993158763 45.541081614844536 -11.258234160674435 -163.88848913513513
Price to Sales Ratio 3.361901023845927 1.529968304106409 4.546230523059295 8.025941287368704 2.6243032600551355 4.028789562555457 5.724213107665154 15.770803895968792
Price to Book Ratio 11.141882129078141 6.644523110354223 5.48861901922811 7.288517854231208 2.616350825933756 4.394121588115746 -5.306118776440341 0
Price to Free Cash Flows Ratio 37.27990245984533 125.05333238461539 -106.80276417227456 -26.599512049985123 -7.562847467916073 -21.63147135302525 -20.206701544281263 -13.333056503957783
Price to Operating Cash Flow Ratio 34.96095734170154 75.96697761682243 -178.32461523595506 -32.568655737704916 -8.591996810923398 -29.464281875405582 -32.02006937235543 -20.81659491246138
Price Earnings to Growth Ratio -0.5542900765193391 -0.0033494415431764915 1.6055972327925543 0.30570572359236853 0.005175301173733084 -0.36531867643212246 -0.008181856221420375 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.194943939073408 1.0447305997966791 0.9772828014184397 1.4394756008739986 2.4694094697641424 1.629587803500847 1.777229009617884 0
Quick Ratio 1.0929765178760313 0.800858466056704 0.7462322695035462 1.150764748725419 2.2214931725483242 1.4569922830792397 1.3826358201195736 0
Cash Ratio 0.5801777025597631 0.47531910086976165 0.47595301418439717 0.8225782957028405 1.9281787550984217 1.2057218144174666 1.1419287756693528 0
Debt Ratio 0.2573193105765007 0.2948083091967984 0.28640325991643883 0.2790508841573439 0.2338087591700513 0.18905285976321495 0.20731232983274991 0
Debt to Equity Ratio 0.8852342430438261 1.2896457765667575 0.768086872319823 0.7564813305070928 0.5233262861169838 0.43888512532662344 -0.3737291106696272 0
Long Term Debt to Capitalization 0.4567799884102762 0.5579644685335742 0.4302939553944361 0.4260177819372953 0.33753501400560226 0.30501748722087707 -0.5532764567072064 0
Total Debt to Capitalization 0.46956193709624183 0.5632512198024515 0.4344169307201815 0.4306799721513112 0.3435418208734271 0.30501748722087707 -0.5967531255831312 0
Interest Coverage Ratio 1.90521327014218 -3.2424778761061948 -7.937888198757764 -10.617903930131005 -15.377459749552774 -4.680555555555555 -8.517745302713987 -9.050898203592814
Cash Flow to Debt Ratio 0.3600120506125728 0.06782167758292837 -0.04007203962179198 -0.29582929194956353 -0.5818744950175061 -0.3398015435501654 -0.4434021263289556 0
Margins
Gross Profit Margin 0.3099970494353692 0.383285754619318 0.464279576052707 0.5373013735523835 0.4904926839612639 0.5010647737355812 0.475542107917297 0.4205461638491547
Operating Profit Margin 0.0323489176792468 -0.057470903786429085 -0.2196505299341163 -0.4365741987611096 -0.607619990103909 -0.2691215616681455 -0.5143721633888049 -0.7862158647594278
Pretax Profit Margin 0.062256913709396206 -0.29569909339021866 -0.05872242910340877 -0.6235748271837688 -0.5960981126740652 0.11641526175687666 -0.5767776096822995 -0.8369310793237972
Net Profit Margin 0.0506155950752394 -0.2900210182890485 -0.030535663133772557 -0.6063380913906096 -0.5992789990810773 0.08846495119787046 -0.5084467977811397 -0.09622886866059818
Operating Cash Flow Margin 0.09616158364850728 0.02013991278978574 -0.02549412775708966 -0.24643145704282252 -0.3054357814377607 -0.13673469387755102 -0.17876954109934443 -0.7576072821846555
Free Cash Flow Margin 0.0901799844424774 0.012234526461084794 -0.04256659982812948 -0.3017326510458748 -0.3469993638227186 -0.1862466725820763 -0.28328290468986383 -1.1828348504551367
Return
Return on Assets 0.048760949895346135 -0.28792550375284187 -0.013746324856862847 -0.20311560206904847 -0.26693114196656276 0.041562447890611975 -0.2614417217684429 0
Return on Equity 0.1677482442883812 -1.2595367847411445 -0.03686540323696223 -0.5506277515082342 -0.5974630021141649 0.09648698345107906 0.4713100385649176 0
Return on Capital Employed 0.04123781843050094 -0.07877536979704163 -0.12887394957983192 -0.18429529692651683 -0.3290712809126407 -0.16240963855421686 -0.352362034718024 0
Return on Invested Capital 0.04609951301032732 -0.09433124513830538 -0.07832174425456688 -0.22799314785696298 -0.5667171484835195 -0.19388525562144535 -0.5005069055038712 0
Turnover Ratios
Receivables Turnover Ratio 9.046590633341422 11.470672903922274 7.156621566215662 10.381174277726002 11.653212520593081 8.441947565543071 8.565874730021598 0
Payables Turnover Ratio 32.562025316455696 27.00412087912088 10.873255813953488 21.931914893617023 26.5 37.486666666666665 19.530516431924884 0
Inventory Turnover Ratio 0 28.91029411764706 14.819334389857369 6.719687092568448 72.8080808080808 7.619241192411924 2.778891115564462 0
Fixed Asset Turnover Ratio 11.249547374773687 9.027754177286887 5.385683431039802 3.6071891191709846 4.254736842105263 6.867763558805606 6.654362416107382 0
Asset Turnover Ratio 0.9633582263107574 0.9927746114796474 0.4501727962036416 0.33498736918080113 0.44542048424168007 0.4698182424545606 0.514196810579541 0
Per Share Items ()
Revenue Per Share 18.314043026039336 16.163733545083975 9.22302549052969 6.354394852135816 11.332531743825664 10.318235627485143 7.2621335401253 2.6358833876962855
Operating Cash Flow Per Share 1.761107380390843 0.32553618395532546 -0.2351329901624584 -1.56592278203724 -3.4613606888436204 -1.4108607898806216 -1.2982482803703579 -1.9969644495082655
Free Cash Flow Per Share 1.6515601151670891 0.1977556257672538 -0.3925928352600148 -1.9173284045271997 -3.9323813056082693 -1.9217370525369402 -2.0572382834923792 -3.117814732702915
Cash & Short Term Investments 3.0516036393271735 2.1859602632887976 2.269429646624177 3.894555494706097 9.062340539895366 5.865005983111786 4.02200613234625 None
Earnings Per Share 0.9269761859965192 -4.687822462098106 -0.28163119945301196 -3.8529116465863456 -6.79134828049438 0.9128022112336013 -3.6924085435357212 -0.25364807631927844
EBITDA Per Share
EBIT Per Share 0.5924394702235305 -0.9289443753989974 -2.0258424365907093 -2.7741648411829134 -6.885872826035584 -2.7768596857286987 -3.735439339852651 -2.072373337062645
Dividend Per Share 0.06386163443537228 0.0 0.0 0.0 1.8079821973432195 0.0 0.0 0.0
Enterprise Value Per Share 63.41019755842235 27.34392372007742 45.52832733259852 52.39877692588536 26.626297385435045 39.85700808704306 40.4759191149206 0
Price Per Share 61.57000000000001 24.73 41.93 51.0 29.74 41.57 41.56999999999999 41.56999999999999
Dividend Ratios
Dividend Payout Ratio 0.06889242183359831 0 0 0 -0.2662184477471102 0 0 0
Dividend Yield 0.0010372199843328288 0 0 0 0.06079294543857497 0 0 0
Effective Tax Rate 0.09177078845325291 0.019202206662423085 0.48 0.02764180823495537 -0.005336179295624333 0.21570121951219512 0.11846994535519126 -0.00870105655686762
Short Term Coverage Ratio 7.18436873747495 3.1940298507462686 -2.4054054054054053 -15.685714285714285 -22.04591836734694 0 -9.453333333333333 0
Capital Expenditure Coverage Ratio -16.076233183856502 -2.5476190476190474 1.4932885906040267 4.4561688311688314 7.348639455782313 2.761648745519713 1.7104945717732207 1.781651376146789
EBIT Per Revenue 0.0323489176792468 -0.057470903786429085 -0.2196505299341163 -0.4365741987611096 -0.607619990103909 -0.2691215616681455 -0.5143721633888049 -0.7862158647594278
Days of Sales Outstanding 40.34669134411631 31.82027794334473 51.00171870524205 35.15979890474908 31.321835018025023 43.23646850044366 42.61094301563288 None
Days of Inventory Outstanding 0 12.625260694847144 24.629986097743558 54.31800543267365 5.013179800221976 47.905032900586875 131.34735576923077 None
Days of Payables Outstanding 11.209376457782616 13.51645556742459 33.56860228852529 16.64241365929375 13.773584905660378 9.736795304997333 18.688701923076923 None
Cash Conversion Cycle 29.13731488633369 30.929083070767287 42.06310251446032 72.83539067812897 22.56142991258662 81.4047060960332 155.2695968617867 0
Cash Conversion Ratio 1.8998410174880764 -0.06944294213088156 0.8348968105065667 0.406425821735268 0.5096720924746403 -1.5456369107321966 0.3515993057277461 7.872972972972973
Free Cash Flow to Earnings 1.7816640169581348 -0.04218496484586263 1.3939962476547845 0.49763103346165233 0.5790280726586459 -2.1053159478435304 0.5571534837589883 12.291891891891893

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.