ASAN Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2024
01-31
2023
01-31
2022
01-31
2021
01-31
2020
01-31
2019
01-31
Price Ratios
Price to Earnings Ratio -14.937838131493749 -7.603654529045928 -32.10605628038926 -27.046831015162248 -38.54127888421355 -84.59491046182848
Price to Sales Ratio 5.884213000993098 5.666043507817811 24.46252475312932 25.22459777898187 32.05034656045328 56.11892145369285
Price to Book Ratio 11.76323398571061 8.695325514479464 45.4156420722135 -447.7351313019001 -31.45285566940784 -23.801037506007926
Price to Free Cash Flows Ratio -123.48747330503025 -18.542158299195645 -73.17969771706824 -37.876942068979204 -96.42963250770076 -128.27134307916754
Price to Operating Cash Flow Ratio -214.12484077853998 -19.37127166402179 -110.49143020827115 -61.656989277700006 -113.87711086306557 -142.75180914512924
Price Earnings to Growth Ratio 0.35026654929019824 -0.30229163127670383 -1.3143416789784355 -0.3622343439530657 -0.3196106053812831 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.7377434894734118 1.9872380505302183 1.6121212596203582 2.7267794660989995 3.801474113135187 2.3716978963099207
Quick Ratio 1.6551456511615874 1.8406125495010772 1.454284684232801 2.559813061244464 3.6350171780121445 2.1510978273364754
Cash Ratio 0.6444842639013325 1.584524970209078 0.9420623226797499 1.5897012405490714 3.0562879514221795 0.5466835268421658
Debt Ratio 0.06528026113351906 0.28434504792332266 0.3615195853104867 0.8013155177200976 0.5339963765022813 0.02014083640295739
Debt to Equity Ratio 0.19239512739126705 0.7615221524844773 1.2539589874411303 -45.80944561732739 -1.5496129098854212 -0.012656689372469077
Long Term Debt to Capitalization 0.11788202608549947 0.41858068555737815 0.5438535247071882 1.022648145327813 3.129032730682451 0
Total Debt to Capitalization 0.16135182287451214 0.4323091545629528 0.5563362041758897 1.0223167233207926 2.819462356167128 -0.012818934646374217
Interest Coverage Ratio -65.97596153846153 -203.913 -13.311781537071433 -4.852866382884626 -1533.7307692307693 0
Cash Flow to Debt Ratio -0.2855391181107378 -0.5894475563362905 -0.32778836260352806 -0.15851991185562347 -0.17823804744606586 -13.173286774334352
Margins
Gross Profit Margin 0.9019561565906109 0.8966415210192759 0.8972167097826058 0.8733898962132826 0.8605879135520245 0.819825452650775
Operating Profit Margin -0.3995944852445349 -0.7452797087783163 -0.7007348647198873 -0.7734092791316453 -0.8388917717347096 -0.6775172593460987
Pretax Profit Margin -0.3882351679070167 -0.7362649210909118 -0.7533750663914998 -0.9258735528889359 -0.8298669060207845 -0.6630194086231601
Net Profit Margin -0.3939132924855633 -0.7451737169506517 -0.7619286697653771 -0.9326267378548395 -0.8315849263004361 -0.6633841344275108
Operating Cash Flow Margin -0.02748029130855903 -0.29249724055759013 -0.22139748491822944 -0.4091117337139434 -0.28144678344529683 -0.3931223134036733
Free Cash Flow Margin -0.04765028260363156 -0.3055762666023406 -0.334280210444539 -0.6659618332716604 -0.3323703069997055 -0.43750162824019806
Return
Return on Assets -0.2671940610836209 -0.42699874235965163 -0.40781856626616786 -0.28956982379065516 -0.281221839636512 -0.44772261734169094
Return on Equity -0.7874790101594382 -1.1435718812925226 -1.4145506279434852 16.5540699038236 0.816082303960362 0.2813530669406832
Return on Capital Employed -0.43839985741836446 -0.6549874969284362 -0.5868889247909137 -0.3092912270564422 -0.3720285852893981 -0.7403564209867054
Return on Invested Capital -0.7387942607486603 -4.29583166016305 -1.2683964676577417 -0.574618815560737 -7.712214641896065 -1.1197523939093732
Turnover Ratios
Receivables Turnover Ratio 7.387367396152932 6.643905637240023 6.404958957434205 7.051127539293036 11.26518682360376 13.72117962466488
Payables Turnover Ratio 9.262197770377878 7.487291501191422 3.3656658302327593 2.9941660589644754 2.6335938534905283 3.7927063339731286
Inventory Turnover Ratio 63974000 56559000 0 28741000 1.5094525852251157 1.6751846917766744
Fixed Asset Turnover Ratio 2.3448256035418327 2.0179442643626024 1.3825950349816414 0.8820484923842089 4.612394074649072 18.72895828250793
Asset Turnover Ratio 0.6783067903031311 0.5730190593771696 0.5352450727333159 0.31048844305783324 0.3381757301537615 0.6749070321497331
Per Share Items ()
Revenue Per Share 2.9604638712194773 2.735594948858694 2.1453223054291075 1.4057706810907673 0.8985862273182452 0.5131958928284935
Operating Cash Flow Per Share -0.0813544095895756 -0.8001539738244499 -0.4749689627609821 -0.5751172805452749 -0.2529042033269644 -0.20174875661800096
Free Cash Flow Per Share -0.14106694010144916 -0.8359328914084606 -0.7171387917302056 -0.9361896199387582 -0.29866338023947225 -0.22452403871864807
Cash & Short Term Investments 2.3568505394589985 2.646060169771139 1.7688731923288417 2.392084122163729 2.2136553184769086 0.5880461522006525
Earnings Per Share -1.166166070796621 -2.038493456112461 -1.6345825703935917 -1.3110593244776585 -0.7472507616190299 -0.3404460131557837
EBITDA Per Share
EBIT Per Share -1.1829850367049901 -2.0387834068208406 -1.5033021354754224 -1.0872360890868122 -0.7538165922914113 -0.34769907481683515
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 15.348064571744876 14.211404061309576 52.16013786769916 36.69596029076201 28.005257236674893 28.22726883790577
Price Per Share 17.420000000000005 15.5 52.48 35.46 28.800000000000008 28.8
Effective Tax Rate -0.014625481101352018 -0.012099986845142506 -0.011353711790393014 -0.007293852324469376 -0.0020702359223957276 -0.000550098231827112
Short Term Coverage Ratio -0.9349288284060692 -10.792124603870272 -6.663882923725444 -11.07440973050322 -3.456126754499268 -13.173286774334352
Capital Expenditure Coverage Ratio 1.36243446546615 22.36383959759676 1.9613052739998595 1.5928034850615718 5.526852106857615 8.858233049603758
EBIT Per Revenue -0.3995944852445349 -0.7452797087783163 -0.7007348647198873 -0.7734092791316453 -0.8388917717347096 -0.6775172593460987
Days of Sales Outstanding 49.40867029167637 54.93756533116964 56.987094285178244 51.7647706648341 32.40070544016381 26.601211410707307
Days of Inventory Outstanding 0.000005705442836152187 0.000006453438002793543 0 0.000012699627709543859 241.8095166239123 217.88642278773858
Days of Payables Outstanding 39.40749366930315 48.74927067310242 108.4480808288557 121.90372638391149 138.59388360746442 96.23734817813765
Cash Conversion Cycle 10.00118232781606 6.188301111505218 -51.46098654367745 -70.13894301944967 135.6163384566117 148.25028602030824
Cash Conversion Ratio 0.06976228482963968 0.3925222185164113 0.29057508098022483 0.4386660998535733 0.3384462302574438 0.5926013195098964
Free Cash Flow to Earnings 0.1209664246234542 0.4100738655313806 0.4387290093014545 0.7140711350432195 0.3996829385524796 0.6594996858309772

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