CSSE Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
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 -0.8668917597907564 -4.11759945999617 -6.057834298765639 -3.015087741990535 -106.30275389006972 4.112696076061 136.9985188181782
Price to Sales Ratio 0.34958520923075426 1.8828214071762692 3.7057258646704647 1.7321454161850502 3.344171969721423 8.79480812660147 13.181292611858746
Price to Book Ratio 1.1142431711931824 2.28544384099363 8.614091435364594 1.7666353573166749 1.472256283918843 1.7145836922293565 29.524818832482744
Price to Free Cash Flows Ratio -1.285526832371203 -6.500461468301864 -10.459012764255744 -5.128592517055807 -11.574047659544638 -9.161707975166514 -14.307701090705187
Price to Operating Cash Flow Ratio -1.4042403546403548 -6.8441736671112015 -13.626717654313694 -5.128592517055807 -11.57404765954464 -9.161707975166514 -43.160003758863276
Price Earnings to Growth Ratio -0.011422573776066433 -2.264679702997879 -0.24697324448813762 -0.0008264517634968046 1.0270797477301423 0.0014218027407637262 0
Liquidity Ratios
Current Ratio 0.8519474530293442 2.2261447530513827 1.3110082324181909 0.9537937066343871 2.8534072972970135 4.713750970937157 0.650496718847834
Quick Ratio 0.7748905232515764 2.1863043337358508 1.2730593186915793 0.9313794616025068 2.6918408693999325 4.091072029657535 0.4651786094620486
Cash Ratio 0.10941978570033721 0.9265357399131678 0.4044051639215025 0.12317662392148367 0.8469159132700371 0.543186134342191 0.11616909281536002
Debt Ratio 0.5899826601798346 0.2504726972822886 0.2703889843502579 0.11934761122330939 0.0967760871103525 0.02429432752718341 0.501492268053668
Debt to Equity Ratio 6.57453070974849 0.6759138204212769 1.4802815101024023 0.3686321799337727 0.12427587679569574 0.02744028212561426 1.635127268353057
Long Term Debt to Capitalization 0.8625471237946007 0.37802298692856157 0.5820629047081024 0.17869340401540762 0.09737941289862126 0.0267074229062195 0.4778089258747328
Total Debt to Capitalization 0.8679786196241847 0.4033106071357365 0.5968199593768235 0.2693434988147148 0.11053859587372365 0.0267074229062195 0.6205116876100654
Interest Coverage Ratio -4.1906427866901055 -7.738403363534932 -15.5906193130608 -33.90380954603036 2.341673869811469 1.3932490330733855 3.428649294119913
Cash Flow to Debt Ratio -0.12069069086489098 -0.49403555607278743 -0.4270452596485335 -0.9344487324763655 -1.023555307076009 -6.820146 -0.41836390344943486
Margins
Gross Profit Margin 0.14631230531089123 0.28313284170565484 0.2142523987990046 0.2698573326816934 0.5403644421182673 0.5556222618352011 0.6113054514602952
Operating Profit Margin -0.46148834791456717 -0.30388507078723687 -0.4911213980339906 -0.44619127848385554 0.02884634680166834 0.1555898324491102 0.21927203992002595
Pretax Profit Margin -0.5508092931884726 -0.4566640626346013 -0.6102326031953605 -0.5639260893189147 0.001080734171002839 2.121375234927725 0.1502880041859269
Net Profit Margin -0.40326281255128604 -0.4572619132745905 -0.6117245341995495 -0.574492540320403 -0.03145894012472822 2.138453210241793 0.09621485491644405
Operating Cash Flow Margin -0.2489496958804377 -0.27509842659661404 -0.2719455967811423 -0.3377428427828051 -0.288937117600654 -0.9599528985687437 -0.3054052702474998
Free Cash Flow Margin -0.27193925511918804 -0.2896442685426954 -0.35430933570852763 -0.3377428427828051 -0.288937117600654 -0.9599528985687437 -0.9212725740001516
Return
Return on Assets -0.11534256252823286 -0.2056816377951719 -0.2597387627676764 -0.189700051800763 -0.010784999363344858 0.36910368572806085 0.06609735031985756
Return on Equity -1.2853313676232543 -0.555042777520608 -1.4219754140716308 -0.5859316572161702 -0.013849653278421544 0.41690016974741456 0.2155119565319353
Return on Capital Employed -0.1637166563796357 -0.1697504133827604 -0.2719171681163461 -0.21420659223994878 0.01095447040241924 0.028714988583940722 0.23890462852731068
Return on Invested Capital -0.12309836889416677 -0.21906162862799558 -0.3107856648359482 -0.23114285547597416 -0.35087858181930004 0.030077523527033176 0.16411969615545144
Turnover Ratios
Receivables Turnover Ratio 2.2183442626439143 1.833391235335776 2.0968778628585922 1.3087295201294096 1.911092682895592 0.7511817348595871 5.327417066618371
Payables Turnover Ratio 4.235046932849133 2.262130481320353 2.826630759910387 1.5170366417364605 2.4308060656000774 4.723754558439797 4.544662196414581
Inventory Turnover Ratio 215820880 79138884 0 129.54895796277958 47.10834592548499 12.835219696230526 5.323452308252894
Fixed Asset Turnover Ratio 15.495238162951166 0 -7.537435146232496 -5.220334824644579 0 0 0
Asset Turnover Ratio 0.2860233052447995 0.4498114359060077 0.4246008591228867 0.3302045518205763 0.3428278041340413 0.17260311516768073 0.6869765627902108
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share -3.646099460879902 -2.022157921928011 -1.4669710275879926 -1.5598821652129604 -0.6497294828225946 -0.9823495820206412 -0.21431879505108786
Free Cash Flow Per Share -3.9828029031148002 -2.1290796149608537 -1.9112702556704904 -1.5598821652129604 -0.6497294828225946 -0.9823495820206412 -0.6465049794763424
Cash & Short Term Investments 1.0855625769778454 2.9487856945813413 1.197667216613684 0.5378530864185173 0.5401434029038235 0.2085691890104802 0.043845029098231424
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Dividend Ratios
Dividend Payout Ratio -0.09400660032520601 -0.1721204758147849 -0.10204862621562213 -0.10390905205725773 -7.229721221531601 0 0
Dividend Yield 0.10844098962008428 0.04180117019321374 0.0168457275624749 0.0344630275962244 0.06801066724017359 0 0
Effective Tax Rate 0.26787217002655034 -0.0013091694506022794 -0.002444856266900069 -0.018737297673618758 30.108860410638005 -0.00805042645585991 0.3597968418197033
Cash Flow Coverage Ratio -0.12069069086489098 -0.49403555607278743 -0.4270452596485335 -0.9344487324763655 -1.023555307076009 -6.820146 -0.41836390344943486
Short Term Coverage Ratio -2.651045504833629 -4.900768915599697 -7.2181928 -2.280336951219512 -7.760712 0 -0.9499510747839359
Capital Expenditure Coverage Ratio 10.828815519908575 18.912513116555974 3.3017636197999525 0 0 0 0.4958946
EBIT Per Revenue -0.46148834791456717 -0.30388507078723687 -0.4911213980339906 -0.44619127848385554 0.02884634680166834 0.1555898324491102 0.21927203992002595
Days of Sales Outstanding 164.53713075398764 199.08462141914416 174.06831674135262 278.8964368771235 190.99021374880166 485.90105837467786 68.51350202842056
Days of Inventory Outstanding 0.0000016912172723973696 0.000004612144897064761 0 2.8174676642699614 7.748096283774206 28.43737845073224 68.56452896819312
Days of Payables Outstanding 86.18558561154973 161.3523194236603 129.12899879840396 240.60064863180006 150.15595244941716 77.26904424952922 80.31400007858875
Cash Conversion Cycle 78.35154683365519 37.73230660762874 44.93931794294866 41.11325590959339 48.58235758315871 437.0693925758809 56.76403091802493
Cash Conversion Ratio 0.6173385894559192 0.6016211248090864 0.44455564813496823 0.5878976994104065 9.184578897288905 -0.44890058569960606 -3.174200808313053
Free Cash Flow to Earnings 0.6743474643712738 0.6334318694256984 0.5791975242126696 0.5878976994104065 9.184578897288905 -0.44890058569960606 -9.57515941587412

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