MYO 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
2018
12-31
2017
12-31
2016
12-31
Price Ratios
Price to Earnings Ratio -18.13937027934113 -0.33635879077573017 -3.847618628853751 -1.8615100102835709 -0.4700749540848169 -1.7157579735224475 -1.338443116950234 -393.4298491963831
Price to Sales Ratio 7.68101890800959 0.23182622356765045 2.880173866914966 2.9551516917740144 1.3021692219098266 7.242337969251719 10.386901439892846 1289.8342120791062
Price to Book Ratio 16.44075471641442 0.5670550433573163 2.5899426959897998 1.937681534553055 2.7387252579590813 2.754644255227101 1.3009863666216768 -81.17555071014696
Price to Free Cash Flows Ratio -23.39001775873693 -0.3485735353954222 -4.041739085675871 -2.4684305019866395 -0.4808029826989299 -1.8186278950850274 -2.6030050859901603 -444.07204789462435
Price to Operating Cash Flow Ratio -23.942548007667227 -0.352381413571176 -4.179937281720876 -2.4809332068032224 -0.48322010416544786 -1.842645844241962 -2.631348117201185 -444.33064286985547
Price Earnings to Growth Ratio 0.22235357116611706 0.023027640291569215 0.07569771432853574 0.02294030307923271 0.019793457096748648 0.02449625576262302 -0.00008977460120878322 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.4923933615455596 2.5584732765934763 4.479422600622447 5.033958194309172 1.583477553534427 4.243429522327849 9.32271952339527 0.38198577613996626
Quick Ratio 2.053771568604897 2.010621510210065 4.081888671486966 4.587989706259005 1.2590975888167695 3.7307218297051175 8.925842932670424 0.30376220931297987
Cash Ratio 1.2545614817297899 1.4841926674988117 3.6243009954912124 4.265686194225539 1.149844638729362 3.5247291164943224 8.72583983538607 0.2656100116782922
Debt Ratio 0.041237197535957726 0.05450774187694831 0.03657561238356297 0.011790589418660317 0.40202628005273167 0.15899155377747123 0 3.289413792354841
Debt to Equity Ratio 0.06689059831912207 0.08710114924996443 0.04769912073562098 0.014996229261587217 1.4538479581390558 0.2049056277851222 0 -0.3111543133846604
Long Term Debt to Capitalization 0.012648676315364583 0.030521351088150264 0.02540182621283123 0.013237294379891953 0.3275863784418807 0 0 -0.23923244236040142
Total Debt to Capitalization 0.06269677361906431 0.08012239643942891 0.04552749906111403 0.014774664998013854 0.5924767886766799 0.17005948271798113 0 -0.4517039439029151
Interest Coverage Ratio 0 -120.27593512977427 -669.5399713093375 -22.124472044979136 -95.00051042409201 -29.333930501844442 -18.244140690300796 0
Cash Flow to Debt Ratio -10.265646437819203 -18.47516555095792 -12.990025877480605 -52.081712668000485 -3.898382794641834 -7.295746943115364 0 -0.5871420067586036
Margins
Gross Profit Margin 0.6851138065598754 0.6591414372620293 0.744226231191508 0.6570951098133007 0.7608943307632376 0.7020261821919198 0.6758669443043853 0.7442491776770476
Operating Profit Margin -0.4278094904682972 -0.6860846600201128 -0.7410354974540958 -1.3849627032621772 -2.81286150927762 -4.3076796241076485 -4.200562460147312 -2.9684313186987494
Pretax Profit Margin -0.4153369043588749 -0.684726981518562 -0.742142280512925 -1.5249037664120613 -2.7914962751418155 -4.221072016575399 -7.760435470399637 -3.278435062092294
Net Profit Margin -0.42344462843660446 -0.6892230259033795 -0.7485601211399173 -1.5875024444933525 -2.770131041006011 -4.221072016575399 -7.760435470399637 -3.278435062092294
Operating Cash Flow Margin -0.3208104210775672 -0.6578843680154114 -0.6890471489871737 -1.191145204421622 -2.694774515143066 -3.930401488643691 -3.9473687924427114 -2.902870267394317
Free Cash Flow Margin -0.3283887591380935 -0.665071211744938 -0.7126075696282447 -1.1971784052237455 -2.708321846508222 -3.9823088542877065 -3.990350036500892 -2.9045606860289848
Return
Return on Assets -0.5587578098596804 -1.0550103985374542 -0.5161540853205697 -0.818409137538544 -1.6110788909258242 -1.2457464597301091 -0.8656519445592527 -2.1812257726811124
Return on Equity -0.9063575230689649 -1.6858636043064048 -0.6731287442491078 -1.0409192128157723 -5.826145881971253 -1.6054969860182684 -0.972014686426192 0.20632789015870437
Return on Capital Employed -0.9041178492856837 -1.626843006248409 -0.6493843694272938 -0.8870454136404687 -3.975819876810388 -1.6384384407750838 -0.5242760904480609 2.438493778680206
Return on Invested Capital -3.7579355702158015 -8.847914609610404 -36.00870721722558 27.253905326315238 6.120343099361019 89.4219133740798 20.363741729615402 1.6749147952556158
Turnover Ratios
Receivables Turnover Ratio 8.075501393821522 8.203529443407556 7.069445117617677 8.198983475256131 9.045127472677692 6.393859644533273 5.248017937038571 9.635102090720137
Payables Turnover Ratio 5.644444547957201 1.667672004634892 4.899546831971157 14.406589510191193 2.0387046462904994 1.7066625734954666 0.3956042579444989 0.9070318401723002
Inventory Turnover Ratio 3.3594408006179073 3.787603090297993 4.384587310777575 3.677448049395147 2.087722651086494 2.8431850212181193 2.5118938132286046 3.422866500879481
Fixed Asset Turnover Ratio 22.923933815294728 22.12610771152134 15.257047220035345 28.74590515035613 24.764021887824896 13.034317620644968 20.205651328580686 51.16528312386959
Asset Turnover Ratio 1.319553425255775 1.5307242487359287 0.6895292318465528 0.515532521148172 0.581589414752285 0.2951256114177357 0.11154682593020447 0.6653252943460946
Per Share Items ()
Revenue Per Share 0.6522572148306636 2.205962691061849 2.37659263512861 2.2773788630660436 6.9299748820394855 5.9649246118326955 10.830949022768486 0.1721151431098686
Operating Cash Flow Per Share -0.20925091174070634 -1.4512683708748007 -1.6375843795392835 -2.7126889113922834 -18.67471970270158 -23.44454857399462 -42.75375016501421 -0.4996279315019555
Free Cash Flow Per Share -0.21419393741711043 -1.467122280008628 -1.693577901715385 -2.7264287953756727 -18.768602368780776 -23.754172096860007 -43.219277828343536 -0.4999188781471769
Cash & Short Term Investments 0.30054800207231747 0.7581375850942367 2.662682345305679 3.6762000776006736 8.063488308681858 15.963045398856853 90.04129176596469 0.12436198442772432
Earnings Per Share -0.2761948139790648 -1.5204002809636095 -1.7790224708521076 -3.615344512154836 -19.196938534129547 -25.17837635998887 -84.05288097438284 -0.5642683198884263
EBITDA Per Share
EBIT Per Share -0.2790418267309768 -1.5134771629142219 -1.7611395056182702 -3.1540847865440913 -19.493059605949583 -25.694984209729927 -45.49607787281052 -0.5109119812296513
Dividend Per Share 0.0 0.0 0.0 0.0005570791394733965 4.889421384033934 0.0 0.0 0.0
Enterprise Value Per Share 4.729835605819126 -0.16818519719427794 4.308382405833745 3.105885170222964 5.750887774541475 30.45040878983566 0 222.7265870632485
Price Per Share 5.01 0.5114000000000001 6.844999999999999 6.73 9.024 43.2 112.5 222.0
Effective Tax Rate -0.019520837162892917 -0.00656618551067802 -0.008647722674628754 -0.04105090397184828 0.00765368534647922 0.02403346638894325 -0.4602458082382288 -0.09455845167654496
Short Term Coverage Ratio -12.697424420386595 -28.932748281740793 -28.63907552942588 -493.89775274755317 -5.863083632908458 -7.295746943115364 0 -1.5468532806038517
Capital Expenditure Coverage Ratio 42.332556098096234 91.54009642822001 29.245961245106628 197.43171883196362 198.91552384066472 75.71953305430097 91.8393331542342 1717.2493297587132
EBIT Per Revenue -0.4278094904682972 -0.6860846600201128 -0.7410354974540958 -1.3849627032621772 -2.81286150927762 -4.3076796241076485 -4.200562460147312 -2.9684313186987494
Days of Sales Outstanding 45.1984319238998 44.49304442898269 51.63064341363766 44.51771382410277 40.35321791788375 57.086020071159 69.55006716420783 37.8823178585251
Days of Inventory Outstanding 108.64903466459803 96.3670139922933 83.24614704394378 99.25361149834158 174.83165199651708 128.37715353593885 145.30869023115895 106.63576856012814
Days of Payables Outstanding 64.66535314481887 218.86797822687586 74.49668561554607 25.33562851511801 179.03525194987483 213.86770042799532 922.6392099430019 402.41145220510055
Cash Conversion Cycle 89.18211344367897 -78.00791980559987 60.38010484203535 118.43569680732634 36.14961796452599 -28.404526820897473 -707.7804525476352 -257.8933657864473
Cash Conversion Ratio 0.7576207124459886 0.9545304542794522 0.9204967370394825 0.7503265324430873 0.9727967649373085 0.9311382210987407 0.5086530011748729 0.8854438817347531
Free Cash Flow to Earnings 0.7755175932932111 0.96495791166178 0.9519710568378614 0.7541269680411875 0.9776872669260649 0.9434354208243517 0.5141915104791667 0.8859594992786884

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