APRN 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
2015
12-31
2014
12-31
Price Ratios
Price to Earnings Ratio -0.27488530779255105 -1.697314208710017 -1.8287068397105342 -1.4101200373274831 -1.6089639276621175 -2.455820551719543 -27.745009656378674 -32.424413925263494 -48.89679576664611
Price to Sales Ratio 0.06579315300774102 0.3189150980596415 0.18324070680491872 0.18935502607349824 0.294387859197124 0.5856545268846368 1.9144857533667916 4.468307497293158 19.357992956841375
Price to Book Ratio 0.8945164579935352 1.873887637939865 1.319298717936694 1.2666589508669244 1.6473599336138538 2.30544336922046 -11.415386806596702 -18.585844704274173 0
Price to Free Cash Flows Ratio -0.30708137679684006 -2.7759641569977243 -7.423883849063243 -3.9717579083279535 -2.1380445899784597 -1.8652090406384179 -17.63085953781318 -39.72174661554112 -71.39590443686006
Price to Operating Cash Flow Ratio -0.32934793671590945 -3.0638112634287817 -15.711492084884586 -5.23087222154743 -2.5557000624187256 -3.385376065651198 -64.67668719473349 -57.69103652068495 -89.33910670858295
Price Earnings to Growth Ratio 0.011523385854422537 -0.05711695887659031 0.053005995353928526 0.027690379876000534 0.02621811468819089 -0.006912522229742471 -1.6436771462386124 -0.6382581158229675 0
EV to EBITDA
Liquidity Ratios
Current Ratio 0.7373955840086128 1.5072317693897093 1.1462472700154478 1.2860001984848985 2.1025185448407586 3.1170997365200805 1.203594275654099 2.9702514437674887 0
Quick Ratio 0.32713325835568247 1.0380738799576676 0.5891173493847547 0.7241225313440736 1.4399384059580391 2.5686315580592884 0.757761160208475 2.543471789477862 0
Cash Ratio 0.3217886975997539 1.0351257370357305 0.5875725776380972 0.7200205101061894 1.4157005581960054 2.519198756462975 0.7100350363436699 2.517612971084959 0
Debt Ratio 0.3497738719893422 0.28170181177871956 0.3167343906006919 0.5473474526901321 0.49683149290361484 0.42529683663988843 0.46803849206494347 0.06324671309850703 0
Debt to Equity Ratio 1.7751846030663385 0.8153598241165229 1.06610394685424 2.1416491418991455 1.4779718697088062 0.9836050926960018 -0.9592578710644678 -0.1273464007615886 0
Long Term Debt to Capitalization 0.4127307558342041 0.4355508549268465 0.5028326300328725 0.647950836646786 0.5639562720896488 0.4656038425912663 -2.415433457934354 0 0
Total Debt to Capitalization 0.6396636105233913 0.44914501978324445 0.5159972461586182 0.6816958371756644 0.5964441678195834 0.49586739634709365 -23.544618215271388 -0.14593006993006993 0
Interest Coverage Ratio -328.4531722054381 8.746402656499816 5.109167991520932 5.825338253382534 -14.887153455681375 0 0 0 0
Cash Flow to Debt Ratio -1.5299944872287465 -0.7501225640397108 -0.07876370887337986 -0.11306736249399162 -0.436126471005246 -0.6923517122354437 -0.18399562380338375 -2.5298064021468276 0
Margins
Gross Profit Margin 0.3356686522694109 0.3584656562714589 0.3857596915381409 0.3863384542328763 0.35066506890353505 0.28736902669228354 0.3303101773160208 0.22749799737678367 0.07175539161504255
Operating Profit Margin -0.23713375226570288 -0.1511914910805588 -0.08372412116159511 -0.11452992956198282 -0.17132714200119833 -0.21421008612207795 -0.06889853862632886 -0.1376102909892225 -0.39584350821273423
Pretax Profit Margin -0.23927349187618738 -0.18784506895532732 -0.10011115742670557 -0.13419057836559178 -0.1828355302576393 -0.23845908548770925 -0.06886710853188771 -0.13762789646804752 -0.39589491812970723
Net Profit Margin -0.23934765206656095 -0.18789396590394514 -0.10020234125329999 -0.13428291284504515 -0.1829673457159976 -0.2384761079039618 -0.06900288653987348 -0.13780688550276846 -0.39589491812970723
Operating Cash Flow Margin -0.19976792222777212 -0.10409097383588058 -0.011662845630123663 -0.03619951282569889 -0.11518873576992211 -0.17299541189140608 -0.029600862944672977 -0.07745236984416216 -0.2166799475618847
Free Cash Flow Margin -0.2142531523533864 -0.11488444375469038 -0.024682593441711826 -0.04767536955776182 -0.137690233672858 -0.3139886812280198 -0.10858720468283263 -0.11249020695240358 -0.2711359021155181
Return
Return on Assets -0.6411810075843452 -0.3814359576359697 -0.21433580235447094 -0.22957172119594835 -0.3441796116641636 -0.4059094974203655 -0.20074833489998428 -0.2846829481187831 0
Return on Equity -3.25414430177041 -1.1040310794098909 -0.7214380617428683 -0.8982632097530846 -1.0238638078154598 -0.9387670314943042 0.4114392803598201 0.5732052627724754 0
Return on Capital Employed -1.6199728807498026 -0.4668491603975475 -0.2749798563921194 -0.253376587372998 -0.3980303452115813 -0.4420608899297424 -0.3453919795297128 -0.4092892550443343 0
Return on Invested Capital -3.233289607546495 -1.0137018281299444 -0.4015680765571032 -0.32165062352736623 -0.5969410463556689 -0.9510669500318738 -0.7112738084980881 3.825268181559749 0
Turnover Ratios
Receivables Turnover Ratio 824.5809352517986 2010.1581196581196 3970.7586206896553 1834.1451612903227 407.8191814294441 196.51895628902764 145.25493060628196 261.552570990023 0
Payables Turnover Ratio 16.279544604201188 10.791896144767898 11.942256553121439 11.644209911563491 19.204181987329996 20.624146085128743 10.750610506771075 8.800635132876483 0
Inventory Turnover Ratio 12.171761978979339 12.07583336668134 15.558097332966732 11.118258583605513 12.888624606053398 14.977556228683188 12.420593653088348 15.064717326619364 0
Fixed Asset Turnover Ratio 5.121048633916404 4.341073323796779 3.6787425723595937 2.501941630089216 3.1864067011908457 3.8175221376956 6.073686059208467 23.290029385635208 0
Asset Turnover Ratio 2.678869009360648 2.0300596445495587 2.139029883669631 1.7096123127807115 1.8810985660709103 1.7020971240600415 2.9092744516416915 2.065810769034933 0
Per Share Items ()
Revenue Per Share 151.38353376723165 253.23354237966115 366.0758636530177 416.99447665757566 623.6670238396626 1238.6141773013062 940.2002583902971 402.8370923644839 92.98484631196519
Operating Cash Flow Per Share -30.241574000177646 -26.359326034208657 -4.269486286699342 -15.094996906011506 -71.83941601748062 -214.27456977677448 -27.8307389891573 -31.20068746476093 -20.147951622926527
Free Cash Flow Per Share -32.434399324024696 -29.09259465631718 -9.035701711370965 -19.8803657781954 -85.87285824653905 -388.9108320811658 -102.09371790067931 -45.31522788818532 -25.21153018786749
Cash & Short Term Investments 11.053609477654545 44.23189875761985 35.06669284098071 39.906492792152726 89.32283176217697 321.2024182178786 96.29707555611242 149.9514779428539 None
Earnings Per Share -36.233293368725846 -47.58105457761929 -36.681658614356195 -55.99523296587445 -114.11069996253887 -295.3798881974832 -64.87653175446539 -55.5137250637406 -36.81222811797886
EBITDA Per Share
EBIT Per Share -35.89814539346538 -38.28675686399284 -30.649379962820824 -47.758348039328034 -106.85108875484264 -265.3236495917395 -64.77842381918826 -55.434529501528935 -36.80744777475022
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 18.672196381524536 71.66812675001603 86.21956976103753 172.55796484312333 258.99869007504367 713.6856150895446 1854.9605381515757 1662.3817533424663 0
Price Per Share 9.960000000000003 80.76000000000002 67.08000000000001 78.96 183.6 725.4000000000001 1800.0 1799.9999999999998 1799.9999999999998
Effective Tax Rate -0.00030993901494088367 -0.00026030466963942143 -0.0009108258154059681 -0.0006880846671799997 -0.0007209509999098812 -0.00007138506053453133 -0.00197159443572237 -0.00130052873955313 0
Short Term Coverage Ratio -2.532686245229799 -13.989142857142857 -1.534857142857143 -0.8041216975142843 -3.4913284300372287 -6.062276306370794 -0.7002646997590934 -2.5298064021468276 0
Capital Expenditure Coverage Ratio 13.791145911760276 9.643884183572975 0.895781223945306 3.154406130268199 5.11915856743443 1.2269763847974116 0.3747592595540134 2.21053513106105 3.978994571630871
EBIT Per Revenue -0.23713375226570288 -0.1511914910805588 -0.08372412116159511 -0.11452992956198282 -0.17132714200119833 -0.21421008612207795 -0.06889853862632886 -0.1376102909892225 -0.39584350821273423
Days of Sales Outstanding 0.44264908924742674 0.1815777557150966 0.09192198138113103 0.19900278762190352 0.8950044937088076 1.8573271855931346 2.5128234785319883 1.3955129502967991 None
Days of Inventory Outstanding 29.98744147563482 30.225657221064214 23.46045227693656 32.828882082146635 28.31954620111835 24.369796676242586 29.38667910685925 24.22879846242085 None
Days of Payables Outstanding 22.420774590083198 33.8216746254511 30.563737964965856 31.346051193866767 19.0062768745271 17.697702416062068 33.951560217916125 41.47427935473334 None
Cash Conversion Cycle 8.009315974799051 -3.4144396486717916 -7.011363706648165 1.6818336759017676 10.208273820300057 8.529421445773654 -2.0520576325248854 -15.849967942015692 0
Cash Conversion Ratio 0.834634977627514 0.5539878480668922 0.11639294535684881 0.2695764640395541 0.6295589812442182 0.7254203090276622 0.42898006777684655 0.5620355583945491 0.5473168197902801
Free Cash Flow to Earnings 0.8951546025352447 0.6114323214265509 0.24632751224162586 0.355036754473568 0.7525399307403253 1.3166462837210853 1.5736617716721932 0.8162887256467583 0.6848683569782164

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