BYND 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
2001
12-31
Price Ratios
Price to Earnings Ratio -1.6923880982658277 -2.2558091930331896 -22.979721198695902 -147.60209328556263 -256.8490831150044 -101.99950885866292 -100.32771596070299 -121.2118701240606 0
Price to Sales Ratio 1.6666012799380272 1.869492586929175 8.85799763047127 19.141083434738253 10.728450240183687 34.66642392874201 93.56242355207023 188.37951561920653 0
Price to Book Ratio -1.114738123724112 -3.8477024481694735 31.067674243405406 21.21048558010553 8.320896511755057 38.61613024765645 -31.782525014857214 -45.789694346807266 0
Price to Free Cash Flows Ratio -4.833818016031895 -1.9901207956497435 -9.412347852953483 -77.87941092629453 -43.83269295187415 -49.99683983779174 -91.87056814894066 -107.147884771529 0
Price to Operating Cash Flow Ratio -5.307404415488059 -2.445610652877181 -13.658663765072834 -194.681975871984 -68.00666328758378 -80.8132690477453 -120.61715355319907 -129.7449381464141 0
Price Earnings to Growth Ratio 0.4620219508265712 -0.02445228285577961 -0.09815458803463073 -0.7643679830859492 4.696668948388652 33.65983792335879 -4.514747218231637 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 5.014444414557388 7.99645310583985 11.169542090902334 3.734261018130318 8.461622324255194 4.281384019652746 4.277283950617284 4.771912738605376 0
Quick Ratio 2.9888775318073004 4.537387428963226 8.250432640754228 2.1929704272370656 6.626580288068432 2.7854020069117706 3.5074897119341566 3.4820802493182703 0
Cash Ratio 2.5621351911127848 4.086470378818845 7.785346484196668 1.7886070115885666 5.786275866406692 2.2596910521713784 3.2127572016460904 3.3108687183482663 0
Debt Ratio 1.571619859254955 1.1238147509376553 0.8390284464466047 0.08569975598603437 0.06905601175421476 0.2305512564579922 0.07751681386636174 0.09311578646056963 0
Debt to Equity Ratio -2.370893783796419 -5.864675653899817 8.735084342805388 0.10925722629168858 0.08125178994506496 0.39062579174056244 -0.05371534619915966 -0.048863653433073466 0
Long Term Debt to Capitalization 1.733282292714142 1.2063579765669117 0.8969078983201189 0.031505992787021916 0.049813718068605184 0.28061094302482414 -0.021644422194054175 -0.04015436776401106 0
Total Debt to Capitalization 1.7294511156296135 1.205563550613768 0.897278753343412 0.09849584361685146 0.07514603971124349 0.2808992858183938 -0.056764469320523134 -0.05137397346809855 0
Interest Coverage Ratio -86.44702907711758 -86.42738275340393 -43.62362938596491 -16.659549689440993 2.6079452946922825 -24.81294326241135 -28.50798403193613 -65.17368421052632 0
Cash Flow to Debt Ratio -0.08858875019410241 -0.26826879822541366 -0.2603954707069136 -0.9971826069612048 -1.5058638810561396 -1.2232779867687118 -4.905473602484472 -7.222563787273287 0
Margins
Gross Profit Margin -0.24071280462233818 -0.05667493370061561 0.25238003012696364 0.30058876310581756 0.3348674206185359 0.19985443628175678 -0.06724778244989411 -0.39006303299962924 0
Operating Profit Margin -0.9956956805367877 -0.8182000463081208 -0.3424553475360448 -0.1054979903388768 0.02688513143804738 -0.31829553983669573 -0.8767379761210522 -1.5304659498207884 0
Pretax Profit Margin -0.9733848609104888 -0.8286695008509714 -0.38534108026683883 -0.12950330026918397 -0.041739258871354865 -0.33985716560147383 -0.9324145974647801 -1.5539488320355952 0
Net Profit Margin -0.984763058571362 -0.8287458853802399 -0.3854701958252636 -0.12968029794608946 -0.04176947065596498 -0.3398685377669616 -0.9325680611399282 -1.5541342232109752 0
Operating Cash Flow Margin -0.31401437491263223 -0.7644277247197045 -0.6485259307079837 -0.0983197512199319 -0.15775586863916052 -0.4289694543634999 -0.7756974924035481 -1.4519218885181064 0
Free Cash Flow Margin -0.3447794837146452 -0.9393864890089823 -0.941103938024532 -0.24577848249075065 -0.2447590945863839 -0.6933723019537381 -1.0184156410177712 -1.758126313187492 0.0
Return
Return on Assets -0.43662470140099424 -0.3268510220066577 -0.12985945328364018 -0.11271650363456878 -0.027533451495055573 -0.22344839961420274 -0.4571566134541023 -0.7198797767282096 None
Return on Equity 0.6586775957987253 1.7056861280877238 -1.3519604513377863 -0.1437004388485877 -0.03239605300840949 -0.3785913351912845 0.3167870882987708 0.37776576089405617 0
Return on Capital Employed -0.488358739372886 -0.34750294763798645 -0.12382334404494207 -0.11322053931125821 0.019813173818606422 -0.2550668902416797 -0.5259330178778562 -0.83104593805577 None
Return on Invested Capital -0.6709363285542865 -0.5067588459797363 -0.2884357808525221 -0.19541295499355246 0.062499392447074385 -0.5046778196715003 -1.8699896215796408 -1.9346211563506879 0
Turnover Ratios
Receivables Turnover Ratio 10.821809013551844 12.250219311070824 10.608135871798384 11.30743571924948 7.432559880239521 6.964517661967369 9.09829656520525 18.409556313993175 0
Payables Turnover Ratio 7.603351656196459 8.00499095840868 5.032140787949015 5.3609315822200445 7.3595438844110985 4.079550066678263 5.540471637985978 8.855905511811024 0
Inventory Turnover Ratio 3.2687131721090106 1.8781650940194148 1.436387315500062 2.337471347469951 2.428317564586499 2.325412301285653 4.269646365422397 3.636863379143088 0
Fixed Asset Turnover Ratio 0.8892502997609681 0.9741064805879986 1.4870780691985714 3.1322717507642315 6.274950499220626 2.8805319880761293 2.307763139254852 1.5745840225746812 None
Asset Turnover Ratio 0.44338046355478083 0.3943923315609514 0.3368858466622058 0.8691875745182754 0.6591764526257792 0.6574553828439839 0.49021259949144635 0.4632030914555603 None
Per Share Items ()
Revenue Per Share 5.340209507297959 6.5846744116917755 7.356064284308609 6.530455834759248 7.0466841256193975 1.8966478958184816 0.7027393851486564 0.34902945675318614 0
Operating Cash Flow Per Share -1.6769025503366644 -5.033507678549603 -4.7705984363289975 -0.642072793026282 -1.1116557752628713 -0.8136040129889343 -0.5451131788730239 -0.5067635079975349 0
Free Cash Flow Per Share -1.84119467685423 -6.1855541768664235 -6.922821066324441 -1.6050455250399962 -1.7247400264228478 -1.3150831175193742 -0.7156807813946032 -0.6136378719953125 0
Cash & Short Term Investments 2.962748159998945 4.87126930325455 11.607828283403908 2.554597258054586 6.528431835370769 1.1705708594396345 0.8419456707675579 0.36662975564767386 0
Earnings Per Share -5.2588410478186045 -5.45702182525811 -2.835543540175667 -0.8468714583753577 -0.29433626580691363 -0.6446109470106118 -0.6553523058947478 -0.5424386236488616 0
EBITDA Per Share
EBIT Per Share -5.317223539578065 -5.387580908570109 -2.519123550980391 -0.6889499665638928 0.18945102891967947 -0.6036945658796766 -0.6161183062757857 -0.5341776990451989 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0
Enterprise Value Per Share 24.866320673938624 26.20165695520725 71.8727608703856 123.08928961737232 69.80978613323022 65.24453063162706 65.01917778499764 65.4535341809991 0
Price Per Share 8.9 12.31 65.16 125.00000000000001 75.6 65.75 65.75 65.75 0
Effective Tax Rate -0.00001495944494475477 -0.00009217731458677198 -0.0003350682422320013 -0.001366742596810934 -0.0007238217789930835 -0.000033461602810774635 -0.00016458737943974457 -0.00011930326890956812 0
Short Term Coverage Ratio -29.32417731846614 -84.00944386149003 -64.95043103448276 -1.4199744372647873 -4.2444906069364166 -857.2954545454545 -8.100320512820513 -34.39970717423133 0
Capital Expenditure Coverage Ratio 10.206834532374101 4.3691879502292075 2.216591522568972 0.6667611363030141 1.8132186125472645 1.6224086021505377 3.195877592311583 4.741675075681131 2.216591522568972
EBIT Per Revenue -0.9956956805367877 -0.8182000463081208 -0.3424553475360448 -0.1054979903388768 0.02688513143804738 -0.31829553983669573 -0.8767379761210522 -1.5304659498207884 0
Days of Sales Outstanding 33.7281871767392 29.795384942222263 34.40755326016785 32.27964403800534 49.10824882425805 52.40851092865103 40.11739971148829 19.826659251019652 0
Days of Inventory Outstanding 111.6647380120226 194.33861334248977 254.1097349310199 156.15164669080173 150.3098298686289 156.96141273450823 85.48717358794433 100.36120743309327 0
Days of Payables Outstanding 48.00514516549265 45.59655368712105 72.5337416779163 68.08518154019191 49.59546484574116 89.47065093803296 65.8788680547567 41.21543522717169 0
Cash Conversion Cycle 97.38778002326916 178.53744459759096 215.98354651327145 120.34610918861515 149.8226138471458 119.8992727251263 59.72570524467592 78.97243145694122 0
Cash Conversion Ratio 0.31887302451026783 0.9223909743684274 1.6824282077620474 0.7581703063390961 3.77682230973238 1.2621628856320686 0.8317864665613481 0.9342319774146088 0
Free Cash Flow to Earnings 0.35011415255039274 1.133503653629579 2.4414441070072797 1.895264634516227 5.859760507916098 2.0401191193200834 1.0920550289626119 1.131257704083661 0

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