BLZE 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 -4.577342875755698 -3.766550952648072 -23.645403900663474 -91.04182394685188 -605.3915662650602
Price to Sales Ratio 2.67917618424019 2.2866907539193235 7.6053267870004 11.210954930834449 14.797536075390203
Price to Book Ratio 6.082310631091726 2.8402688402520497 5.374608280376181 -88.15350877192982 -232.4479568234387
Price to Free Cash Flows Ratio -9.911047760533759 -6.542237305133718 -66.76204582541953 76.87021927587965 62.64623376623376
Price to Operating Cash Flow Ratio -37.1873299510204 -14.129827381902622 145.79541086931818 47.03721039082612 45.66916609861395
Price Earnings to Growth Ratio -2.4870229624939135 -0.02906794756934925 -0.10616303792134621 -0.16008957818553857 0
EV to EBITDA
Liquidity Ratios
Current Ratio 0.6746544747490673 1.3265718603761905 2.465092539168257 0.2538076648155276 0.3215550205353349
Quick Ratio 0.5912379350815422 1.2068500883118776 2.3334960720784697 0.20327706603617968 0.2871406316385781
Cash Ratio 0.21899907159248166 0.12181576503577997 2.32663885313568 0.16704239291801837 0.24706132275881604
Debt Ratio 0.19281326174945135 0.29730374454155706 0.2032509888067685 0.5779066992234115 0.43387873453114484
Debt to Equity Ratio 0.5650229204682007 0.6544385775547712 0.3481976415390738 -4.602046783625731 -6.460678488820355
Long Term Debt to Capitalization 0.08413157787469938 0.26583281574607526 0.1703290496919775 1.5390070921985815 1.4370682392586351
Total Debt to Capitalization 0.3610317223336035 0.3955653515538902 0.2582689887675362 1.2776199366831724 1.183127426756089
Interest Coverage Ratio -14.316719409282701 -11.287712753555608 -5.111231982594506 -1.293139293139293 0.4919647485743909
Cash Flow to Debt Ratio -0.2894726477885865 -0.30715224998328394 0.10587102983638114 0.4072368003049749 0.7878155021182648
Margins
Gross Profit Margin 0.488703084719513 0.515096001409195 0.5089138843195661 0.5202848430760078 0.5060616471974084
Operating Profit Margin -0.5321459728089866 -0.5685279783923434 -0.278516279138695 -0.06938866577420794 0.023289486600569353
Pretax Profit Margin -0.5853125398210137 -0.6075626798191534 -0.32021814194045556 -0.12304774654172244 -0.02405026013546677
Net Profit Margin -0.5853125398210137 -0.607104691445012 -0.32164080676951345 -0.12314071099211661 -0.02444291744380092
Operating Cash Flow Margin -0.07204540330722708 -0.16183430215489403 0.0521643770654574 0.23834225792057118 0.3240159026209875
Free Cash Flow Margin -0.27032219488526643 -0.3495273325113029 -0.11391692230175313 0.14584262977837276 0.2362079120447629
Return
Return on Assets -0.45344642979185495 -0.3425682346782583 -0.1326804457730421 -0.12159209825772457 -0.02578574017501165
Return on Equity -1.3287863278294538 -0.7540768400478427 -0.22730033722221057 0.9682748538011696 0.38396299151888974
Return on Capital Employed -0.7277345844504022 -0.5043336041835949 -0.15857373079421866 -0.20624481901077646 0.0914082065112695
Return on Invested Capital -0.8742471577184451 -0.5417059221638748 -1.380337669180845 -0.3107429555666508 0.2833413271301471
Turnover Ratios
Receivables Turnover Ratio 22.920467310716692 99.48014018691589 218.37864077669903 40.807283763277695 36.809394760614275
Payables Turnover Ratio 22.8680403331872 10.584978210715201 15.970120481927712 15.08830409356725 12.960077269800387
Inventory Turnover Ratio 0 0 6.481126540191668 25.57086223984143 20.248490945674043
Fixed Asset Turnover Ratio 1.835534364879453 1.513705204778157 1.5668013374198941 1.3881174830950291 1.6410132495670735
Asset Turnover Ratio 0.7747082096182615 0.5642655039658612 0.41251123296715386 0.9874240393618389 1.0549370890074043
Per Share Items ()
Revenue Per Share 2.8329603870947033 2.6894760428182396 2.220811869500422 1.7750495049504953 1.3448184818481848
Operating Cash Flow Per Share -0.20410177364163606 -0.4352494785517957 0.11584726775206342 0.42306930693069306 0.43574257425742574
Free Cash Flow Per Share -0.7658120698624543 -0.9400453870993141 -0.25298805318469075 0.2588778877887789 0.31765676567656764
Cash & Short Term Investments 0.8136579686358609 2.0662743367893572 3.4505042877640864 0.20052805280528052 0.23112211221122111
Earnings Per Share -1.658167239382723 -1.6327935231239192 -0.7143037213894272 -0.2185808580858086 -0.03287128712871287
EBITDA Per Share
EBIT Per Share -1.507548461119834 -1.5290423775580932 -0.6185322585603066 -0.12316831683168317 0.031320132013201316
Dividend Per Share 0.0 0.00410582920047409 0.0 0.0 0.0
Enterprise Value Per Share 7.481423410212409 5.500773653500419 14.533725814003127 20.7383498349835 20.2219801980198
Price Per Share 7.59 6.1499999999999995 16.889999999999997 19.900000000000002 19.9
Effective Tax Rate 0 0.0007538125519454162 -0.004442798963346909 -0.0007555152614082804 -0.0163265306122449
Short Term Coverage Ratio -0.3456708836946809 -0.6875717208002794 0.2579699523635031 1.0728992299966522 1.6042527339003645
Capital Expenditure Coverage Ratio 0.3633577219695472 0.8622286179065257 -0.31408940840546085 -2.576683417085427 -3.690050307434321
EBIT Per Revenue -0.5321459728089866 -0.5685279783923434 -0.278516279138695 -0.06938866577420794 0.023289486600569353
Days of Sales Outstanding 15.924631686254521 3.669074041453819 1.6714088827635265 8.944481630224601 9.91594679493472
Days of Inventory Outstanding 0 0 56.31736978695154 14.274059144994379 18.026034679783375
Days of Payables Outstanding 15.961140293700394 34.48282960379734 22.855181362785924 24.190922832448354 28.163412331693745
Cash Conversion Cycle -0.0365086074458727 -30.813755562343523 35.13359730692915 -0.9723820572293747 -0.22143085697564757
Cash Conversion Ratio 0.12308877463868839 0.26656737204534026 -0.16218208625138225 -1.9355277064774272 -13.256024096385541
Free Cash Flow to Earnings 0.46184247986200655 0.5757282680181052 0.3541743457427202 -1.1843575418994414 -9.663654618473895

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