AFB Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
10-31
2022
10-31
2021
10-31
2020
10-31
2019
10-31
2018
10-31
2017
10-31
2016
10-31
2015
10-31
Price Ratios
Price to Earnings Ratio -213.76027699341134 -3.012103277099756 15.376544940646232 45.94252596179117 7.165189748079114 -26.53995127703937 52.28352024735048 11.26685271907104 22.469356512609284
Price to Sales Ratio -321.039586849419 -3.025219539363745 15.127800727999997 43.515374207293746 7.096774819098349 -27.789177035157778 48.79056995936244 14.474084216790388 13.752520581435256
Price to Book Ratio 0.8365670687502669 0.9053534644918174 0.9684679975228929 0.9089428971206043 0.8922114204132825 0.858265224615872 0.9001784365218221 0.7465818255133049 0.7495288565308043
Price to Free Cash Flows Ratio 13.279162489030234 8.432960097902436 23.07860455676927 23.135765145653423 24.05475448482337 18.87080488686752 15.869764301781995 12.03093982609704 0
Price to Operating Cash Flow Ratio 13.279162489030234 8.432960097902436 23.07860455676927 23.135765145653423 24.054754484823366 18.87080488686752 15.869764301781997 12.03093982609704 0
Price Earnings to Growth Ratio 2.16467719861293 0.006647400335668427 0.0698933860938465 -0.5461092708665742 -0.013779211053998298 0.08714610867087555 -0.636720098061793 0.10730335922924797 0
EV to EBITDA
Liquidity Ratios
Current Ratio 9.14503320414609 1.1233366858811564 3.9242041557426703 1.7792119977700134 7.712345171481257 0.05512916424915809 1.1335356374386993 0.05447439212259751 0.06422204373233634
Quick Ratio 19.6367440493936 1.1639249900310142 4.363187514056865 2.139331114386174 9.291432656303549 0.05512914696237514 1.1335356374386993 0.05447439212259751 0.06422204373233634
Cash Ratio 0.0001101764118783134 0 0 0 0 0 0 0 0.0001280961450090019
Debt Ratio 0.4254752223521769 0.026600578550315935 0.07456586717012442 0.07526280270206412 0.07482535037049165 0.0392654110437373 0.03740305569075911 0 0
Debt to Equity Ratio 0.7443529030557172 0.04877230717657382 0.11896981631128747 0.12152420288971189 0.11919945563374107 0.06549450896747454 0.0607643181603492 0 0
Long Term Debt to Capitalization 0.42672150902020856 0.023767648336330202 0.056145120801385784 0.05728155385839327 0.05624739819409532 0.06146864992382033 0.057283523889388434 0 0
Total Debt to Capitalization 0.42672150902020856 0.04650419051192815 0.10632084492097786 0.10835629099808405 0.10650421158956423 0.06146864992382033 0.057283523889388434 0 0
Interest Coverage Ratio -0.12647462109243882 -20.556798847132306 10.006201509961203 1.8816467369014094 8.139418428016377 -10.026879206097991 -1.2163488405558693 1.3719115865560694 -3.8474687359860176
Cash Flow to Debt Ratio 0.08463523278606414 2.2012269537040066 0.35272718911668904 0.32328827361563517 0.3111663153860893 0.6944263652040621 0.9334896340295076 0 0
Margins
Gross Profit Margin 17.019523433661575 1.0833882867104512 0.8601706391090236 0.0657990782267637 0.8083233389785686 1.6403606980992438 0.1159282079216843 0.7631336013767652 0.8482919774419843
Operating Profit Margin 1.5018673785649814 0.9577634403730071 0.9838231401393231 0.9471698235200215 0.9904517631233553 3.519519082203355 -0.5216721396140506 0.7430466925264274 0.827004368391096
Pretax Profit Margin 1.5018673785649814 1.0043545194362056 0.9838231401393231 0.9471698235200215 0.9904517631233553 1.0470696326861442 0.9331921364234261 1.2846608167949665 0.6120567170545208
Net Profit Margin 1.5018673785649814 1.0043545194362056 0.9838231401393231 0.9471698235200215 0.9904517631233553 1.0470696326861442 0.9331921364234261 1.2846608167949665 0.6120567170545208
Operating Cash Flow Margin -24.176192370160855 -0.35873756121723144 0.6554902698206164 1.8808703292646058 0.2950258679038211 -1.472601576973364 3.0744357024813413 1.2030717820891912 None
Free Cash Flow Margin -24.176192370160855 -0.35873756121723144 0.6554902698206164 1.8808703292646058 0.2950258679038211 -1.472601576973364 3.0744357024813413 1.2030717820891912 0
Return
Return on Assets -0.002237016299753537 -0.1639328885183429 0.039475695855666106 0.012252912626120228 0.07816540261120286 -0.01938771614079618 0.010597959103807076 0.04957894034617385 0.024340240260045984
Return on Equity -0.003913575901550933 -0.3005718533540952 0.06298345963031347 0.019784347466583384 0.12452027814789855 -0.03233861342309196 0.017217249953008655 0.06626356482406039 0.03335782473833579
Return on Capital Employed -0.002240821226288694 -0.164630513263339 0.03961359741568626 0.012349706994746957 0.07830659219588074 -0.08819977833231188 -0.00599817975070549 0.038294473192679826 0.045031344708428823
Return on Invested Capital -0.040991716491854104 -0.19976720999797637 0.01366883148038807 -0.0185585785702904 0.046634787007296286 -0.08819977833231188 -0.00599817975070549 0.038294473192679826 0.04503347460874509
Turnover Ratios
Receivables Turnover Ratio -0.09592204822436354 -2.88124353387445 2.9372186161323457 0.9276632401020265 5.675321188573771 -1.28620411011409 0.815182542251407 2.8207532764852425 2.30092429731225
Payables Turnover Ratio 14.05232191387229 0.2698950760076008 1.6117075417027151 1.5419075585877486 8.389694346617091 1.2006825048256224 0.8185697941974214 0.03639975075608101 0.022373316359282774
Inventory Turnover Ratio 0.7156136413717854 0 0 0 0 0 0 0 0
Fixed Asset Turnover Ratio 0 0 0 0 0 0 0 0 0
Asset Turnover Ratio -0.0014894899054875158 -0.16322213456097817 0.04012478894334178 0.012936341849008689 0.07891893933805619 -0.018516166963088294 0.011356674247626068 0.0385930198056992 0.039767948920128915
Per Share Items ()
Revenue Per Share -0.02825196758135068 -3.3782672189633676 0.9770091678061138 0.31207361185288424 1.9149543766595967 -0.4307432344921918 0.27894734600017457 0.9575735357351292 0.0
Operating Cash Flow Per Share 0.6830250030822821 1.2119113432710373 0.6404200030224454 0.5869699970805292 0.5649610769702184 0.6343131663838093 0.8576056796553525 1.1520297001183095 None
Free Cash Flow Per Share 0.6830250030822821 1.2119113432710373 0.6404200030224454 0.5869699970805292 0.5649610769702184 0.6343131663838093 0.8576056796553525 1.1520297001183095 None
Cash & Short Term Investments 0.33791002352553506 0.04236478383531624 0.03720992803741153 0.06809028901647232 0.06908562955228009 0 0 0 0.0008558027952049995
Earnings Per Share -0.04243070849070598 -3.3929779492290395 0.9612042274159177 0.295586707863952 1.8966699386632837 -0.451018160321781 0.26031146976354747 1.230157200558735 0.0
EBITDA Per Share
EBIT Per Share -0.04243070849070598 -3.235580834133706 0.9612042274159178 0.2955867078639521 1.8966699386632833 -1.5160090333252636 -0.14551905882757193 0.7115218485788245 0.0
Dividend Per Share 0.40404998640456186 0.5798299916200891 0.6404200030224454 0.5869699970805291 0.562141797776137 0.0 0.68509462600959 0.7430738409019244 0
Enterprise Value Per Share 16.802310623339014 10.728196956848329 16.558414222247702 15.32753386126864 15.336538520732836 12.883434740049669 14.52870937650738 0 0
Price Per Share 9.07 10.219999999999999 14.78 13.579999999999998 13.590000000000002 11.969999999999999 13.609999999999998 13.86 0
Dividend Ratios
Dividend Payout Ratio -9.522584014666286 -0.17089117592168246 0.6662684003628842 1.9857794057190499 0.29638356485594847 0 2.6318265062691704 0.6040478733648201 None
Dividend Yield 0.04454795880976426 0.056734832839539055 0.04333017611789211 0.04322312202360303 0.04136437069728749 0 0.05033759191841221 0.05361283123390508 None
Effective Tax Rate -17.293163385445876 -0.21342760851649387 0.6549459687552773 2.5027545656090817 0.4044589899833557 0 0 0 0
Short Term Coverage Ratio 0 4.395271328216413 0.7054543782333781 0.6465765472312703 0.6223326307721786 0 0 0 0
Capital Expenditure Coverage Ratio 0 0 0 0 0 0 0 0 0
EBIT Per Revenue 1.5018673785649814 0.9577634403730071 0.9838231401393231 0.9471698235200215 0.9904517631233553 3.519519082203355 -0.5216721396140506 0.7430466925264274 0.827004368391096
Days of Sales Outstanding -3805.173125017701 -126.68141228214027 124.26722273761925 393.4617479936539 64.31354065649381 -283.7807756403636 447.7524739329267 129.39805939171072 158.63190302538976
Days of Inventory Outstanding 510.051763826523 0 0 0 0 0 0 0 0
Days of Payables Outstanding 25.974355144801812 1352.3773956873551 226.46788611188708 236.71976829422107 43.50575657707674 303.99376898808873 445.8996686505755 10027.541189661097 16314.076739390499
Cash Conversion Cycle -3321.09571633598 -1479.0588079694953 -102.20066337426783 156.74197969943282 20.807784079417075 -587.7745446284523 1.8528052823511985 -9898.143130269385 -16155.44483636511
Cash Conversion Ratio -16.097421593417227 -0.3571822043660527 0.6662684003628842 1.98577940571905 0.2978700012340503 -1.406402717645018 3.2945366580825413 0.9364898238981652 0
Free Cash Flow to Earnings -16.097421593417227 -0.3571822043660527 0.6662684003628842 1.98577940571905 0.2978700012340503 -1.406402717645018 3.2945366580825413 0.9364898238981652 0.0

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.