VIEW 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
Price Ratios
Price to Earnings Ratio -0.6170884846435214 -1.9801209103790913 -4.317603941132065 -1.9766171433697841
Price to Sales Ratio 2.0528752190904784 9.176671255421784 34.34915782304501 25.753287413901063
Price to Book Ratio 0.9434071993541715 1.4168246823744415 -0.6159312139970123 25185.548071034904
Price to Free Cash Flows Ratio -0.7551559228630136 -2.3629420817502402 -5.456929178470255 -1.7436575769909104
Price to Operating Cash Flow Ratio -0.8010048103322795 -2.598944214792222 -6.696520586637698 -2.636241266585475
Price Earnings to Growth Ratio 0.02966030168785574 0.08748866595945012 0.08996994369617303 0
EV to EBITDA
Liquidity Ratios
Current Ratio 2.63289395326513 3.283930790555396 0.2819980575498467 49.504950495049506
Quick Ratio 2.1380802972259505 2.9795048274543543 0.2395815479931189 91362.37623762376
Cash Ratio 0.8520180966517639 2.686941974954593 0.20069445766918678 49.504950495049506
Debt Ratio 0.39154252002339157 0.05658801942668312 0.672128756572803 6329.32
Debt to Equity Ratio 1.099246231155779 0.08016681339680977 -0.14581775528432403 6459.80812410696
Long Term Debt to Capitalization 0.5195394384181924 0.07158116968012473 -0.008639499928050827 0.9998452206007684
Total Debt to Capitalization 0.5236385397965291 0.07421706758857782 -0.17071035623417938 0.9998452206007684
Interest Coverage Ratio -116.5187969924812 -58.011084984884114 -8.864429530201342 -28.851897300358694
Cash Flow to Debt Ratio -1.0714430118617844 -6.8002446196684625 -0.6307722763231028 -1.4789266461484014
Margins
Gross Profit Margin -1.004944339175746 -1.631021389868526 -2.8112191195591603 -7.504779795449802
Operating Profit Margin -3.3646573503868624 -4.667099058197198 -7.360039626029348 -12.759632644541849
Pretax Profit Margin -3.3252605400284225 -4.6396962449498025 -7.954368150578912 -13.026841995408057
Net Profit Margin -3.3267112742775935 -4.6343994487007985 -7.9556064639960375 -13.028970987267794
Operating Cash Flow Margin -2.562875019737881 -3.5309227505506238 -5.129403752089654 -9.768941765810895
Free Cash Flow Margin -2.71847860413706 -3.8835785804045564 -6.2945947619342455 -14.769693174702565
Return
Return on Assets -0.544547401886189 -0.5050731445838843 -0.6575540856927191 -12484.36
Return on Equity -1.528803766123034 -0.7155243273014031 0.14265579298028824 -12741.743212900592
Return on Capital Employed -0.6730922235888486 -0.6012610191206985 -3.138576086813027 -12478.342518881404
Return on Invested Capital -0.830570084856491 -1.1759818825161603 -18.996645466960544 605360.3047075844
Turnover Ratios
Receivables Turnover Ratio 2.3894168415591763 2.4181342917823887 2.636467515507672 1.8083339624065826
Payables Turnover Ratio 9.628750177733542 8.050690482097082 8.454195852218103 11.01968844655993
Inventory Turnover Ratio 11.693835261612847 18.965033602805104 18.989665278420485 28.902255639097746
Fixed Asset Turnover Ratio 0.36079688084174544 0.2555675653275963 0.11431908267270668 0.08598503203575082
Asset Turnover Ratio 0.16368940884550892 0.10898351559347692 0.08265291762086921 958.2
Per Share Items ()
Revenue Per Share 28.204344551274026 25.564825574566928 19.249380244088485 22.599056603773587
Operating Cash Flow Per Share -72.2842100985404 -90.26742423509677 -98.73784324942791 -220.7688679245283
Free Cash Flow Per Share -76.6729072063481 -99.28300901316672 -121.1670480549199 -333.7811320754717
Cash & Short Term Investments 55.15223075634116 97.09604141939067 37.68115942028985 31.029245283018867
Earnings Per Share -93.82771100233312 -118.47761354890504 -153.14049389778793 -294.4424528301887
EBITDA Per Share
EBIT Per Share -94.89795520728781 -119.31357336203695 -141.67620137299772 -288.3556603773585
Dividend Per Share 0.9692042449030489 0.0 0.0 0.0
Enterprise Value Per Share 70.21212273543841 150.7781022745016 780.0536899313502 700.2471698113208
Price Per Share 57.900000000000006 234.60000000000002 661.2 582.0
Dividend Ratios
Dividend Payout Ratio -0.01032961621411556 0 0 0
Dividend Yield 0.01673927884115801 0 0 0
Effective Tax Rate -0.00043627686664173655 0.0011416256516294375 -0.0001556771567124098 -0.0001634311570285011
Short Term Coverage Ratio -65.7612053684477 -177.7639455782313 -0.6701368666278392 0
Capital Expenditure Coverage Ratio 16.470539734889325 10.012375953101651 4.402199904351985 1.9534947784929002
EBIT Per Revenue -3.3646573503868624 -4.667099058197198 -7.360039626029348 -12.759632644541849
Days of Sales Outstanding 152.7569378651508 150.9428162200873 138.4428208779642 201.84324775620956
Days of Inventory Outstanding 31.21302736307388 19.24594533520959 19.220981236292747 12.628772112382935
Days of Payables Outstanding 37.9073081409944 45.337726100845344 43.17382828364877 33.12253352443406
Cash Conversion Cycle 146.06265708723026 124.85103545445156 114.48997383060819 181.34948634415844
Cash Conversion Ratio 0.7703929822687777 0.7618943489086765 0.6447533290269357 0.7497861324088699
Free Cash Flow to Earnings 0.8171669796403918 0.8379896086629464 0.7912149489069273 1.1336039652813599

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