GREE 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 -1.3271739130434783 -0.04555544021858004 -11.54495840827338 -6.2098716892596455 -21.446652975899777
Price to Sales Ratio 0.6348894697959879 0.13656708787605998 4.786857853966834 1.184302863677041 45.5071016850642
Price to Book Ratio -0.8879823550451059 -0.26118923629561924 2.417439495723156 0.5369943146979261 5.9899781870478
Price to Free Cash Flows Ratio -1.7196521337591872 -0.08334635602129752 -4.158324020989214 -5.897763753404308 -19.50053329278888
Price to Operating Cash Flow Ratio -3.445004625346901 -0.8483375906109768 12.81268868983757 42.76672854578097 -29.271993099550787
Price Earnings to Growth Ratio 0.014417728891526933 -0.00012725494755592097 0.6153714590827339 -0.010427497853637358 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.1647041998379177 0.3348595044670894 2.411014715045775 1.16823330923114 2.3957292707292708
Quick Ratio 0.6925203794632216 0.18953222179453413 2.1238316637108756 0.9808789266489917 2.2803446553446554
Cash Ratio 0.6345997997807122 0.1541399080245538 1.9795571106743997 0.40588093516510004 1.4672827172827172
Debt Ratio 0.9559386173602126 0.9302606752276099 0.2805926151664239 0.1255831739961759 0.22341847864330447
Debt to Equity Ratio -1.3652982553749553 -3.238166089229919 0.4507845195670902 0.1850766456266907 0.37658640730636933
Long Term Debt to Capitalization 3.7374891209747605 2.2533166391390056 0.2620793630391813 0.02983116087831336 0.1858825801467748
Total Debt to Capitalization 3.7374891209747605 1.4467943665182006 0.3107177623466805 0.15617272208483926 0.2735653972083405
Interest Coverage Ratio -1.4783158227348132 -2.7177752027809965 9.18851570964247 -4.140060240963855 -11.846953937592868
Cash Flow to Debt Ratio -0.18879347984281764 -0.09507962138815591 0.4185490355796443 0.06784409257003654 -0.5433858267716536
Margins
Gross Profit Margin 0.047905893049951694 0.33496704786672443 0.6847413704708372 0.3735706473103311 -0.10385221896823608
Operating Profit Margin -0.2658691822469739 -0.6516631658498094 0.31622808244078415 -0.13667097543999204 -1.7961252534354584
Pretax Profit Margin -0.41255611752003185 -2.8310939219151137 -0.4108243146247565 -0.16356766431341355 -1.909213786888939
Net Profit Margin -0.47837699607887707 -2.9978217139554784 -0.4146275529703478 -0.1907129362632992 -2.1218742960126153
Operating Cash Flow Margin -0.18429277717792805 -0.16098200691272407 0.373602915816065 0.027692154718106793 -1.554629421040775
Free Cash Flow Margin -0.36919645394101264 -1.6385489947654452 -1.15115075924942 -0.20080540916774386 -2.333633701284073
Return
Return on Assets -0.4684669643975124 -1.6471022855642468 -0.13033782932425345 -0.058676864244741875 -0.16569910632608542
Return on Equity 0.6690776139570004 5.733436775989968 -0.20939352141717235 -0.08647430117222724 -0.27929664334005455
Return on Capital Employed -0.36766208251473476 -0.9014682143131678 0.11325327751459734 -0.05193848246674728 -0.16326070931280204
Return on Invested Capital -1.694416419353887 -1.2460698960954524 0.1578212337551137 -0.06694830439628616 -0.23893339836594424
Turnover Ratios
Receivables Turnover Ratio 57.93251028806584 25.75243274184316 19.42016654598117 51.57435897435897 443.9
Payables Turnover Ratio 19.174821173104434 6.228039134054955 5.709944284990714 4.701492537313433 2.078913873568095
Inventory Turnover Ratio 0 4.6973074809639686 0 81.29032258064517 51.041666666666664
Fixed Asset Turnover Ratio 1.5608825812174298 0.6899330608739658 0.4908287313040176 0.39683541806415973 0.1197658104899633
Asset Turnover Ratio 0.9792840547045647 0.5494330359596256 0.3143491752791802 0.3076711281070746 0.07809091548800225
Per Share Items ()
Revenue Per Share 10.56876876876877 21.23498454204328 33.52930145335209 89.74055814576036 1.1571820232463506
Operating Cash Flow Per Share -1.9477477477477478 -3.418450428338801 12.526644788248165 2.485109420661655 -1.7989892188382663
Free Cash Flow Per Share -3.901951951951952 -34.79456257522479 -38.59728082512893 -18.02038949740112 -2.700438967967773
Cash & Short Term Investments 1.9987987987987987 3.591201944634555 25.971245507110485 52.731612644165345 4.757767313870048
Earnings Per Share -5.055855855855856 -63.65869775564628 -13.902172214408505 -17.11468534588529 -2.455394790934304
EBITDA Per Share
EBIT Per Share -2.8099099099099103 -13.838057253439688 10.60290670417253 -12.264929618310392 -2.078443854774308
Dividend Per Share 0.0 0.05357184999882 0.2794186591654947 0.0 4.967097605527363
Enterprise Value Per Share 15.02801801801802 35.26235338541052 164.45749335833727 90.17809712896246 51.21293592902895
Price Per Share 6.71 2.8999999999999995 160.50000000000003 106.28 52.660000000000004
Effective Tax Rate -2.4033196735424776 -0.058891649884784035 -0.00925757850789617 -0.16595744680851063 -0.11138643067846608
Short Term Coverage Ratio 0 -0.21376603060757662 1.9730714320878255 0.08136137890739117 -1.3802
Capital Expenditure Coverage Ratio 0.996696119861698 0.10895073335840541 -0.24502509613562307 -0.12119234116623151 1.9956622325043378
EBIT Per Revenue -0.2658691822469739 -0.6516631658498094 0.31622808244078415 -0.13667097543999204 -1.7961252534354584
Days of Sales Outstanding 6.300434733193158 14.173418242034252 18.79489545755381 7.077160186934473 0.8222572651498086
Days of Inventory Outstanding 0 77.70408930630525 0 4.490079365079366 7.151020408163266
Days of Payables Outstanding 19.0353796108392 58.605925901168135 63.923565937315196 77.63492063492063 175.57244897959185
Cash Conversion Cycle -12.734944877646043 33.271581647171374 -45.12867047976138 -66.0676810829068 -167.59917130627878
Cash Conversion Ratio 0.38524590163934425 0.053699660044264685 -0.901056654676259 -0.14520333680917624 0.7326680114661854
Free Cash Flow to Earnings 0.7717688287004039 0.5465798673542398 2.7763489208633096 1.0529197080291972 1.0997982800721946

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