BFRI Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2024 (Q1)
03-31
2023 (Q4)
12-31
2023 (Q3)
09-30
2023 (Q2)
06-30
2023 (Q1)
03-31
2022 (Q4)
12-31
2022 (Q3)
09-30
2022 (Q2)
06-30
2022 (Q1)
03-31
2021 (Q4)
12-31
2021 (Q3)
09-30
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
Price Ratios
Price to Earnings Ratio -0.16664986490370795 0.42037067498581965 -0.47253249526963104 -0.3596545084883603 -0.5444767986092537 -2.197754308797127
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Price to Sales Ratio 0.8805592406024554 0.5595420913552284 1.350062432706386 2.419918878248974 1.8649249971372952 2.41354327681388
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Price to Book Ratio -1.2845824519940916 1.2369931149593159 11.54836641618497 1.9729103025233516 0.9722637454480328 1.0252934796264501
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Price to Free Cash Flows Ratio -2.0571551034890594 -0.6694036355425087 -5.981638892215569 -1.3691646284829722 -4.39816095058061 -2.95974165860735
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Price to Operating Cash Flow Ratio -2.092420619548872 -0.6687241145950823 -5.981638892215569 -1.3691646284829722 -4.41485226348604 -2.960099504292105
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Price Earnings to Growth Ratio 0.0006070028191856912 -0.003100985583361213 0.013190771972198577 -0.01235622851248354 -0.0032420413364482622 0.2921720434047945
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EV to EBITDA
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Liquidity Ratios
Current Ratio 1.4359504132231404 1.2757076514816452 1.0167216041752507 1.2739034395708426 1.820195599022005 2.0647075715516414
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Quick Ratio 0.5227272727272727 0.36394294559929236 0.4556036258755665 0.654070684758599 1.416479217603912 1.682875466641141
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Cash Ratio 0.2719435736677116 0.07424812030075188 0.11749759648399945 0.1756468917639634 0.6603911980440098 0.823585718388054
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Debt Ratio 0.149175991861648 0.19329084920521267 0.08251231527093596 0.05947703563202818 0.02880972238770404 0.02645232293058722
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Debt to Equity Ratio -0.6768833087149188 1.1264343834759023 2.7109826589595376 0.30600864352432733 0.07217479553459495 0.05636751957787177
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Long Term Debt to Capitalization -0.12950990615224192 0.14364838306235483 0.35125 0.0771902740254728 0.041485465781643395 0.03429449589517532
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Total Debt to Capitalization -2.0948571428571428 0.5297291993720565 0.7305295950155763 0.2343082835183604 0.0673162583518931 0.0533597621407334
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Interest Coverage Ratio 3.8855721393034828 -16.587982832618025 32.53521126760563 -71.89256198347107 -162.62857142857143 -152
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Cash Flow to Debt Ratio -0.9069830878341517 -1.6421559548064457 -0.7121535181236673 -4.708883826879271 -3.051282051282051 -6.144873699851412
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Margins
Gross Profit Margin 0.500569548158461 0.4655530388825972 0.49374929609190227 0.506155950752394 0.47349135463185615 0.48186119873817035
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Operating Profit Margin -0.6919377294013416 -0.36476028690071727 -0.5203288658632729 -1.487517099863201 -0.6517806023130653 -0.5244479495268138
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Pretax Profit Margin -1.3208454625996708 0.33220083050207627 -0.7141569996621241 -1.6797195622435022 -0.8557196839574029 -0.2744479495268139
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Net Profit Margin -1.3209720288571067 0.3327670819177048 -0.7142696249577655 -1.6821135430916552 -0.85629222489408 -0.27454652996845424
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Operating Cash Flow Margin -0.42083280597392736 -0.8367308418271046 -0.2257010924653677 -1.7674418604651163 -0.42242070308027024 -0.8153588328075709
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Free Cash Flow Margin -0.4280470826477661 -0.8358814647036618 -0.2257010924653677 -1.7674418604651163 -0.4240238177029658 -0.8154574132492113
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Return
Return on Assets -0.42469989827060023 0.1262351424889016 -0.18596059113300492 -0.2665492480693673 -0.1781961158107947 -0.054732332363807874
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Return on Equity 1.9270679468242244 0.7356561652409764 -6.109826589595376 -1.3713927227101632 -0.4464211091875112 -0.1166296746094895
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Return on Capital Employed -0.51873991839833 -0.3926249492076392 -0.927710843373494 -0.752964597939929 -0.2645596095747153 -0.17739246415471824
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Return on Invested Capital -0.813377545331206 -0.4554273695073307 -2.965807825227714 -1.2269574711836118 -0.7110871881177565 -0.41635979655298316
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Turnover Ratios
Receivables Turnover Ratio 2.2446022727272728 2.0526927547462224 1.3647402397786659 0.9441394898288666 1.1102212051868803 1.3697002430461789
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Payables Turnover Ratio 1.452337136547663 0.6288030202087497 0.5213407562050568 0.4894915254237288 2.555864369093941 4.112676056338028
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Inventory Turnover Ratio 0.5714699493120927 0.5191602493582692 0.27974856858352004 0.1953331078796077 0.6893553223388306 0.7332589285714286
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Fixed Asset Turnover Ratio 5.143880208333333 6.0687285223367695 6.92049883086516 4.561622464898596 6.10272536687631 6.424319189360355
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Asset Turnover Ratio 0.3215055951169888 0.37934984963482743 0.2603506920009383 0.158460913155399 0.2081019897533659 0.19935539658831852
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Per Share Items ()
Revenue Per Share 2.180432515461863 4.950476546439917 6.495995879553012 4.29766472482967 6.541818045619685 7.5987864714034234
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Operating Cash Flow Per Share -0.9175975337186048 -4.14221640814801 -1.4661533666656423 -7.595872536908254 -2.763399378253867 -6.195737668077456
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Free Cash Flow Per Share -0.9333277771537808 -4.1380115866193234 -1.4661533666656423 -7.595872536908254 -2.7738866624218135 -6.196486759803738
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Cash & Short Term Investments 1.053374371790651 0.6638945991403477 4.947901805768333 7.634087065925207 15.806584516274018 20.79178995467995
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Earnings Per Share -11.521161454942648 6.589422537843393 -18.559570162462084 -28.916640149213038 -22.406831716543692 -8.34488183078018
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EBITDA Per Share
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EBIT Per Share -1.508723523861537 -1.8057372453746963 -3.3800541686603127 -6.392849767663013 -4.263830105996478 -3.9851679838196183
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Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 1.8783286533559367 4.628531115679311 5.880858460597493 4.379006995463496 -2.7009326191992233 -1.443512491104535
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Price Per Share 1.9199999999999997 2.7699999999999996 8.77 10.4 12.199999999999998 18.34
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Effective Tax Rate -0.00009582215408202377 -0.0017045454545454545 -0.00015770383220312253 -0.0014252265092130714 -0.0006690753378830456 -0.00035919540229885057
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Short Term Coverage Ratio -1.0919540229885059 -1.9294885745375407 -0.8898756660746003 -6.480250783699059 -7.621900826446281 -16.60843373493976
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Capital Expenditure Coverage Ratio 58.333333333333336 -985.1111111111111 0 0 263.5 8271
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EBIT Per Revenue -0.6919377294013416 -0.36476028690071727 -0.5203288658632729 -1.487517099863201 -0.6517806023130653 -0.5244479495268138
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Days of Sales Outstanding 40.09619035565118 43.84484711211778 65.94661560986597 95.32489740082079 81.06492614221918 65.70780757097792
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Days of Inventory Outstanding 157.48859604662948 173.35687797986932 321.7174638487208 460.7513850415512 130.55676381035232 122.73972602739725
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Days of Payables Outstanding 61.96908261530664 143.1290835246336 172.6318131256952 183.86426592797784 35.2131361461505 21.883561643835616
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Cash Conversion Cycle 135.61570378697402 74.07264156735351 215.0322663328916 372.2120165143941 176.408553806421 166.56397195453957
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Cash Conversion Ratio 0.31857813547954394 -2.514463981849121 0.31598864711447494 1.050726847616143 0.4933137202460551 2.96983842010772
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Free Cash Flow to Earnings 0.32403947494490754 -2.5119115144639816 0.31598864711447494 1.050726847616143 0.49518587857715973 2.970197486535009
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