VICI 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
2015
12-31
2014
12-31
Price Ratios
Price to Earnings Ratio 12.867382518917543 25.43878079265592 16.7639152792866 14.47455726083748 20.360438605475817 13.17085838768265 157.39062835778915 0 2230816.4332999997 1673112.324975
Price to Sales Ratio 8.954260273456057 10.93217386385265 11.25892458625249 10.531054323117168 12.422989884644357 7.680053829997873 33.33365926150241 356.26560020761247 370.21902416883336 353.94802728474724
Price to Book Ratio 1.28059744289767 1.2962406449600676 1.403678236211818 1.3707314208537338 1.3955820604247262 1.0115971088452589 1.4312298263941363 79.53661385855034 78.38886442049781 0
Price to Free Cash Flows Ratio 14.85671425409766 14.64382121801475 19.014607979929405 14.652056565539601 16.360750480619927 13.705772448790997 51.76424459006283 3613.633531263499 3202.1288516267946 2189.937598134817
Price to Operating Cash Flow Ratio 14.829228424366885 14.629685237182745 18.961468477514362 14.606159036485446 16.295418667495408 13.68132902603148 50.99024169223293 2459.555053252481 2317.330089993075 2177.822746469248
Price Earnings to Growth Ratio 0.13505434544648995 -0.8639585929581257 7.376122722886111 0.3547685603146442 -1.617523733657246 0.013170858387682649 0 0 0 0
Liquidity Ratios
Current Ratio 28.222806991155768 30.077258468308496 11.424350942652255 11.010868159698239 5.103810607825128 6.430088007536938 0.4931771736360593 1.60546875 0.8513071895424836 0
Quick Ratio 28.215695505685577 30.077258468308496 11.426952174412001 11.010868159698239 5.11095632149559 6.311955697511432 0.45880072150576856 0.9736328125 0.4362745098039216 0
Cash Ratio 0.7860146802238133 0.3519962396768009 2.1763658673666058 0.9965938443197623 4.842442726621519 3.31971667547508 0.45880072150576856 0.8984375 0.2867647058823529 0
Debt Ratio 0.4254227789882401 0.3672159861502446 0.2682714630189404 0.3964888326991476 0.36120161448930505 0.3609038372353214 0.49136524776091944 0.00015473887814313345 0.0007062607297303171 0
Debt to Equity Ratio 0.7421646820305298 0.6290996791822533 0.3898883804025481 0.7185267292696912 0.6015634543487576 0.599968697968991 1.0200931942928992 0.00016638341870387318 0.0007613469985358712 0
Long Term Debt to Capitalization 0.4110702309762468 0.3851527719097122 0.2793894776171411 0.4181062284524593 0.37561012816277756 0.3768164667574003 0.4887911350301752 0 0.0001639555446251859 0
Total Debt to Capitalization 0.42600145077302404 0.3861640188266673 0.2805177638003033 0.4181062284524593 0.37561012816277756 0.37498777240491926 0.5049733334951244 0.00016635573986715306 0.0007607677902621723 0
Interest Coverage Ratio 4.125089235944728 3.249348888719163 4.401811970708606 4.061460442961066 3.391921379799021 3.5641084720896443 2.276036240805632 1 1 1
Cash Flow to Debt Ratio 0.11635734200594748 0.14084167751088456 0.18986954319677737 0.13060909326864464 0.1423666974638547 0.12323971898091464 0.02751581986210747 194.35714285714286 44.43076923076923 0
Margins
Gross Profit Margin 0.9925002519388215 0.9683811685867288 0.9678252321193878 0.9727270650323848 0.978876796774244 0.8895506232342254 0.832363629142755 0.26861857865318073 0.25778613708026776 0.25602919399196106
Operating Profit Margin 0.9342650086323653 0.654343431780019 0.956869117522364 1.0226938561033443 0.9415521715515681 0.8440683892794582 0.7158402668837744 0.0003726377428799574 0.0009957404436576865 0.0020626189972498413
Pretax Profit Margin 0.7055618678688855 0.43801450149709864 0.6796944556323399 0.7319337714409738 0.6213536462978236 0.59417780188134 0.2116602791953772 0 0 0
Net Profit Margin 0.6958882476907454 0.42974441082525183 0.6716166479416628 0.7275562307947133 0.6101533530472799 0.5831095896665505 0.21178935244941322 0 0.00016595674060961442 0.0002115506663845991
Operating Cash Flow Margin 0.6038250957644378 0.7472596769250704 0.5937791474117099 0.721000935072056 0.7623608903909038 0.5613529077025358 0.6537262455569014 0.1448496140537663 0.15976102229352215 0.16252379944996825
Free Cash Flow Margin 0.6027079824185463 0.746538331839503 0.5921197322677747 0.7187424015196144 0.7593166278869644 0.560351768475139 0.643951428741635 0.09858929997338302 0.11561652929136472 0.1616247091178337
Return
Return on Assets 0.0570483220763325 0.02974345793489676 0.05761376996441458 0.05225587336046592 0.04115631543465857 0.04620153514824543 0.004380211653075574 0 0.000032596649064476175 0
Return on Equity 0.0995227616039971 0.0509552975641933 0.08373212419810992 0.09469936773557831 0.06854381123446882 0.07680570841087334 0.009093488229429932 0 0.00003513909224011713 0
Return on Capital Employed 0.07776365761577007 0.0460152786768575 0.08370019725877405 0.0748445350502253 0.06461838293551116 0.06792133407746656 0.015439472910468488 0.00007825513409576192 0.00019821605550049553 0
Return on Invested Capital 0.07890119129261598 0.04615988609984915 0.08720194198306379 0.07621328041836158 0.07036720152220366 0.07143726939858352 0.016451359830683947 0.00007906834893991934 0.00019898517560441747 0
Turnover Ratios
Receivables Turnover Ratio 0.19806530353197344 0.14923751746113104 0.48032185046197273 0.3884196758262254 550.3062730627306 0 0 243.96103896103895 98.78142076502732 0
Payables Turnover Ratio -0.024283350275831034 -1.39922408072283 -1.8432637571157495 45.538147138964575 29.5328125 93.83254493850521 6.485116189744574 45.045901639344265 39.23099415204678 0
Inventory Turnover Ratio 0.0490255162890531 -11.190936309199783 -54.94343891402715 0.09747768293287527 18901000 0 0 37.03234501347709 30.355203619909503 0
Fixed Asset Turnover Ratio 3.7916317192251694 2.9663737587342 4.2014606341289635 3.3651772549170356 0.07569624757093431 12.556835820060689 2.7111170928667563 0.21146896916616947 0.19866581677510112 0
Asset Turnover Ratio 0.08197914286617602 0.06921197154787762 0.08578371328493178 0.07182382769698305 0.06745241213395319 0.0792330223460493 0.020681925707864875 0.20762641613705443 0.19641654171284526 0
Per Share Items ()
Revenue Per Share
Operating Cash Flow Per Share 2.1498084113139604 2.214675126273551 1.5879571793559253 1.7458388571767767 1.5679253489181455 1.3726736608897625 0.40203770995505317 0.007542014550749634 0.0080049018826038 0.00851768126220273
Free Cash Flow Per Share 2.145831134310678 2.212537254971516 1.5835193674138417 1.7403700215008617 1.5616643032521746 1.3702255797816494 0.396026256392726 0.005133337356849806 0.005793021099252751 0.008470560994888233
Cash & Short Term Investments 0.5150982782436851 0.4857788322360743 1.3118526417121703 0.6637799301641538 2.6693729155475774 2.9920507211906706 0.5606802442392826 0.002550037995843316 0.0009728949310228304 None
Earnings Per Share
EBITDA Per Share
Dividend Per Share
Dividend Ratios
Dividend Payout Ratio 0.6301232524646514 1.0908006639019 0.748423584925201 0.6865794000946535 0.9230608611556806 0.5016662878925325 0 0 0 0
Dividend Yield 0.0489705852404907 0.042879439576632934 0.04464491572860363 0.047433533732480375 0.04533600081225308 0.03808911106064959 0 0 0 0
Effective Tax Rate -0.002409670701880846 0.0025247049755825215 0.0028137167473161508 0.0009263811272419594 0.003066623979740497 0.0027007373144063065 -0.04458673421521719 0 0 0
Cash Flow Coverage Ratio 0.11635734200594748 0.14084167751088456 0.18986954319677737 0.13060909326864464 0.1423666974638547 0.12323971898091464 0.02751581986210747 194.35714285714286 44.43076923076923 0
Short Term Coverage Ratio 1.9551185168053442 33.068386394187414 34.01707779886148 0 0 -15.748625343664084 0.43894666666666665 194.35714285714286 56.627450980392155 0
Capital Expenditure Coverage Ratio -540.5226765799257 -1035.9253731343283 -357.8243512974052 -319.23410404624275 -250.42547723935388 -560.714126807564 -66.8786185881158 -3.1311852704257768 -3.619047619047619 -180.76470588235293
EBIT Per Revenue 0.9342650086323653 0.654343431780019 0.956869117522364 1.0226938561033443 0.9415521715515681 0.8440683892794582 0.7158402668837744 0.0003726377428799574 0.0009957404436576865 0.0020626189972498413
Days of Sales Outstanding 1842.8265500882064 2445.7656908897884 759.9071323716454 939.7052279176941 0.6632670166898004 0 0 1.496140537663029 3.6950268296730653 None
Days of Inventory Outstanding 7445.102624681605 -32.61568021792268 -6.643195388099651 3744.446821241586 0.00001931114755833025 0 0 9.856248635271854 12.024297532980547 None
Days of Payables Outstanding -15030.874893868362 -260.85886101348643 -198.01832406835496 8.01525804038893 12.359134437331358 3.889908349381434 56.282723288320305 8.102845913094113 9.30386822687635 None
Cash Conversion Cycle 24318.804068638172 2674.0088716853525 951.2822610519006 4676.136791118891 -11.695848109494 -3.889908349381434 -56.282723288320305 3.2495432598407703 6.415456135777262 0
Cash Conversion Ratio 0.8677041145157824 1.7388467612413714 0.8841042717322369 0.9909899806431498 1.2494578397110432 0.9626885197061221 3.0866813557732873 0 962.6666666666667 768.25
Free Cash Flow to Earnings 0.8660988088512616 1.737168216814971 0.8816334944681222 0.9878857071082032 1.2444684997545625 0.9609716224965097 3.040527870235807 0 696.6666666666667 763.9999999999999

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