COIN 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 432.2673980457674 -2.997274407998022 15.119206121761973 202.88528374240263 -2152.018165662948
Price to Sales Ratio 13.193239160039159 2.463112126699326 6.989502991538686 51.18931397022734 122.52030689387054
Price to Book Ratio 6.528483256546171 1.4424072312380272 8.58609958742897 42.85136997387374 131.55344548025894
Price to Free Cash Flows Ratio 67.7645921034803 -4.770061938049825 5.147739632710549 21.90536193065413 -540.1509602279766
Price to Operating Cash Flow Ratio 61.356773571920165 -4.962531961582396 5.106585180415602 21.76825972763617 -811.3926098717026
Price Earnings to Growth Ratio -4.18106303924694 0.016394757598025236 0.005950707948798445 -0.44105496465739696 0
Liquidity Ratios
Current Ratio 1.0290945314374116 1.069701188857906 1.609055668889709 1.2088823376357327 1.6240596218543717
Quick Ratio 0.03408881280215626 0.07116211284416181 0.6726338959465489 0.3061698598139094 0.5958924151820598
Cash Ratio 0.02902357545703195 0.05475474796583364 0.6238248678631776 0.2500320825646272 0.44868829304814933
Debt Ratio 0.014754060446707415 0.03889384162182096 0.16410497581015704 0.0184065550275352 0.054485612950080045
Debt to Equity Ratio 0.4861524418190192 0.639785229121265 0.5470713160732213 0.07062542470730009 0.26216187943333746
Long Term Debt to Capitalization 0.3217538081408343 0.38644241443438615 0.351491408722388 0.05129311389883741 0.176502746724804
Total Debt to Capitalization 0.32712151737541734 0.39016403963104107 0.3536173868582856 0.06596651179529804 0.20770860196715668
Interest Coverage Ratio -1.3677959548606915 -30.027839956805884 105.50651577503429 0 0
Cash Flow to Debt Ratio 0.2188655001131363 -0.4543079795228591 3.0734163430232075 27.872756963387705 -0.6184457898815964
Margins
Gross Profit Margin 0.8646547095386894 0.8028055780963544 0.838263529913601 0.8939209271997001 0.8462626584353659
Operating Profit Margin -0.03641990063644023 -0.8357329892104709 0.3924474745913103 0.32012296073287977 -0.06678033106316805
Pretax Profit Margin -0.024721856991239497 -0.9594184223444434 0.3861175613984869 0.3203170927786793 -0.08509091590395983
Net Profit Margin 0.030521013658870222 -0.8217839915246596 0.4622929891456588 0.25230668792725686 -0.05693274752452059
Operating Cash Flow Margin 0.2150249824426398 -0.496341816187299 1.3687234706951157 2.351557479132762 -0.1510000281038343
Free Cash Flow Margin 0.19469222422076046 -0.5163690028952403 1.3577809854882568 2.336839452015333 -0.22682604663362907
Return
Return on Assets 0.00045835175614679727 -0.02925553318977671 0.1703510200628219 0.05504597966941364 -0.012704822246630006
Return on Equity 0.015102881424925206 -0.4812396313761136 0.567893546677063 0.211209848163659 -0.06113026719722543
Return on Capital Employed -0.012213741940453706 -0.29962186769746724 0.31217130930384285 0.25423437996368176 -0.030507778229516617
Return on Invested Capital 0.03958776257106986 -0.5098713625931824 1.348335122956415 0.5892013043250718 -0.03850312839190569
Turnover Ratios
Receivables Turnover Ratio 7.30626103266963 6.871968968432738 17.144540476232134 6.742356350048293 5.822542463481951
Payables Turnover Ratio 10.70659642693541 11.239227022108023 31.830994401626793 11.263735350344943 13.813973063973064
Inventory Turnover Ratio 0 0.00780729501658009 0.11860744270767462 0.035378578251810455 0.06528311494060832
Fixed Asset Turnover Ratio 15.141645598600983 13.242436051573318 49.737931034482756 8.511149605250008 3.1303554776162295
Asset Turnover Ratio 0.015017579732761858 0.03560002809923175 0.3684914633415474 0.21817090986222323 0.22315491169924856
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share 2.834568864611783 -7.131440215191126 49.4205013886522 15.080672690763052 -0.4045883534136546
Free Cash Flow Per Share 2.5665320870583046 -7.419190874168968 49.02540105104621 14.986285140562249 -0.6077560240963855
Cash & Short Term Investments 26.77907598093267 23.77794470883525 33.270421017239556 5.576244979919679 3.199668674698795
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Effective Tax Rate 2.2345760947361573 0.14345610592243901 -0.19728558180899763 0.21232212199932063 0.33091861898890257
Cash Flow Coverage Ratio 0.2188655001131363 -0.4543079795228591 3.0734163430232075 27.872756963387705 -0.6184457898815964
Short Term Coverage Ratio 9.046587802171029 -29.22269736235784 331.5216894271767 118.8789077958053 -3.389863301787592
Capital Expenditure Coverage Ratio -10.575298250055377 24.783401853965078 -125.08341979180024 -159.7739602169982 1.9914012502779768
EBIT Per Revenue -0.03641990063644023 -0.8357329892104709 0.3924474745913103 0.32012296073287977 -0.06678033106316805
Days of Sales Outstanding 49.95715296345399 53.11432599254651 21.28957614851257 54.13537657311537 62.68739168313864
Days of Inventory Outstanding 0 46751.14738521623 3077.378549502967 10316.977618548637 5591.032234476876
Days of Payables Outstanding 34.09113274146968 32.47554296056392 11.46681110224272 32.404880676535264 26.42252147949546
Cash Conversion Cycle 15.866020221984314 46771.78616824821 3087.2013145492365 10338.708114445217 5627.297104680519
Cash Conversion Ratio 7.045145513381328 0.6039808773427597 2.9607272937982185 9.320234427597676 2.652252608023168
Free Cash Flow to Earnings 6.37895668855604 0.628351255586299 2.9370572718342665 9.261900551320593 3.984105044920526

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