CISO 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
Price Ratios
Price to Earnings Ratio -0.21061955750989925 -10.504455675472007 -58.82896087552757 -92.3550538422464 -136.25967541122557 10030.127752813161 0
Price to Sales Ratio 0.29615498283637687 7.621757709628416 153.1235059080833 43.89123543605786 97.57214887338634 5051.347711835612 0
Price to Book Ratio 1.0470142509804083 4.6411077233199975 91.65400163766559 41.052819925639376 47.50781096283275 89708.12112488928 0
Price to Free Cash Flows Ratio -2.7549639282128147 -31.696761482407172 -313.9663129107156 -186.6907473177907 -865.7998939613797 13295.107723610587 0
Price to Operating Cash Flow Ratio -2.8543776198828668 -33.216896332901946 -313.9663129107156 -186.71805862125083 -915.4340129230225 13295.107723610588 0
Price Earnings to Growth Ratio -0.0021414949422794228 0.3925349226097435 -0.060002931269939434 -0.8465879935539254 0.018330898037384608 0 0
EV to EBITDA
Liquidity Ratios
Current Ratio 0.4203049798201856 0.6202890970027665 1.7999934261209776 1.642514197920382 4.2836403789959 12.87886105241976 0
Quick Ratio 0.26641854264541637 0.4319845841813302 1.4715058325671913 1.6057235827574015 4.1621982176893555 12.87886105241976 0
Cash Ratio 0.04075171045704167 0.07897126265974912 0.5300014917648551 1.3451283959960596 3.242936164109441 4.02485159472784 0
Debt Ratio 0.27694889566396 0.1419523551985771 0.2033393902235353 0.32020567943122663 0.024412203277670772 0.7812316898822684 0
Debt to Equity Ratio 0.8863932856204341 0.1940421393441732 0.28784698361010197 0.5231049996622086 0.0280173871279824 5.535872453498671 0
Long Term Debt to Capitalization 0.3408311103665145 0.05446024221868522 0.17516287450507076 0.11861275827650086 0 0.8469982382436645 0
Total Debt to Capitalization 0.46988785020452384 0.16250861921066764 0.22351023628848143 0.34344644642242117 0.027253806675639806 0.8469982382436645 0
Interest Coverage Ratio -26.99079376251121 -48.6666470853447 -57.59300891779427 -197.76467844440558 -104.82704800472455 0 0
Cash Flow to Debt Ratio -0.41382307902172677 -0.720056447642506 -1.0141605094855652 -0.4203081392276468 -1.8522958091577326 1.21886 0
Margins
Gross Profit Margin 0.1060228844452395 0.058546582671131324 0.11941594548187001 0.3970902222784466 0.5093258138401304 0.8212797261870992 0
Operating Profit Margin -1.3630108521291482 -0.7118886069460034 -1.1690203749577597 -0.468435654043985 -0.6512372047192507 0.5036174848738946 0
Pretax Profit Margin -1.4137490061341504 -0.7255855832283217 -2.585140992351425 -0.4713911171484808 -0.7098625211616778 0.5036174848738946 0
Net Profit Margin -1.4061134034167622 -0.7255737893611456 -2.602859265729128 -0.47524454385603415 -0.7160750132342382 0.5036174848738946 0
Operating Cash Flow Margin -0.10375466118198123 -0.22945424019278182 -0.4877068004159667 -0.2350669011886486 -0.10658567138207377 0.37994033721629783 0
Free Cash Flow Margin -0.10749867894949061 -0.24045856274177294 -0.4877068004159667 -0.2351012895210327 -0.11269595844711285 0.37994033721629783 0
Return
Return on Assets -1.553198909650886 -0.3232173344230635 -1.1005761263921165 -0.2720962072418738 -0.3037924779274654 1.2621735428075904 0
Return on Equity -4.971115993970303 -0.44182277185071306 -1.5579741724758733 -0.4445108114577309 -0.3486564225216031 8.943866253321524 0
Return on Capital Employed -3.0398238684066934 -0.4076845790234942 -0.5771648147378922 -0.38617298726180715 -0.31708693895748175 1.3684272936712292 0
Return on Invested Capital -3.1543990741422605 -0.4170843007032125 -0.6377871313959964 -0.9535301904928233 -0.6138389204646875 2.0696890893019573 0
Turnover Ratios
Receivables Turnover Ratio 9.69829042236414 5.680584395995759 3.128109557052736 7.191680058480346 3.5865705450546557 3.6454886363636363 0
Payables Turnover Ratio 4.618034309774421 8.319765079852043 7.842504087610131 13.294736393314817 7.844644248736792 8.19057142857143 0
Inventory Turnover Ratio 233.03587646763214 3712.979412013895 18.31699483772772 0 14.514069549309314 0 0
Fixed Asset Turnover Ratio 12.851933981154591 9.430287821640288 7.097107550346266 76.98422216551842 175.0394495412844 0 0
Asset Turnover Ratio 1.1046042985414375 0.44546445745738755 0.4228335127000486 0.5725393605450837 0.4242467231964294 2.5062146980930136 0
Per Share Items ()
Revenue Per Share 5.132447833369014 5.018527412866921 1.9102227203155953 0.9739985574632447 0.3074647873024631 0.005939009094485455 0
Operating Cash Flow Per Share -0.5325153859853957 -1.1515223944060262 -0.9316286110070029 -0.22895482266509876 -0.03277134078097954 0.0022564691180894637 0
Free Cash Flow Per Share -0.5517313618643442 -1.2067478887781677 -0.9316286110070029 -0.22898831685123444 -0.03465003889378877 0.0022564691180894637 0
Cash & Short Term Investments 0.09556689328125816 0.19763382301842272 0.34376116815230556 0.699077470572869 0.3024231789254485 0.0007405734385485849 0
Earnings Per Share -7.21680369083749 -3.6413119519666375 -4.972040907179748 -0.46288750015805497 -0.2201678516366735 0.002990988822807951 0
EBITDA Per Share
EBIT Per Share -6.9955820948687 -3.5726324888661627 -2.233089280756169 -0.45625565130319296 -0.20023250863245506 0.002990988822807951 0
Dividend Per Share 0.0 0.0 0.0 0.0026902960751539595 0.020076188959836504 0.0 0
Enterprise Value Per Share 2.7112520711038512 39.651577458508406 293.0748593088761 42.595653409694705 29.715269103602516 30.001110721310713 0
Price Per Share 1.5199999999999998 38.25 292.5 42.75000000000001 30.0 29.999999999999996 0
Effective Tax Rate 0.00540096062614935 0.000016254274407858114 -0.006853890534452742 -0.008174584898551591 -0.008751683442018713 0 0
Short Term Coverage Ratio -0.9931730708900777 -1.0240106908908648 -3.867225820573282 -0.565890238347757 -1.8522958091577326 0 0
Capital Expenditure Coverage Ratio 27.71211773682412 20.8512826819874 0 6835.658634538153 17.44364384971693 0 0
EBIT Per Revenue -1.3630108521291482 -0.7118886069460034 -1.1690203749577597 -0.468435654043985 -0.6512372047192507 0.5036174848738946 0
Days of Sales Outstanding 37.635499052319 64.25395250835254 116.68389272909552 50.75309204969376 101.76852662309415 100.12375195992556 0
Days of Inventory Outstanding 1.5662824348451652 0.09830380389909743 19.926849531463827 0 25.14801233106737 0 0
Days of Payables Outstanding 79.03795760621564 43.87143104363844 46.541257221228626 27.454474402631867 46.52855992274924 44.563435308891755 0
Cash Conversion Cycle -39.83617611905148 20.480825268613202 90.06948503933071 23.298617647061896 80.38797903141229 55.5603166510338 0
Cash Conversion Ratio 0.07378825984437977 0.31623832552552933 0.18737348070924129 0.49462304034332566 0.1488470752535644 0.7544224508238323 0
Free Cash Flow to Earnings 0.07645093111855414 0.33140469827816177 0.18737348070924129 0.49469539957990966 0.15738010175513334 0.7544224508238323 0

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