DAVE 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
Price Ratios
Price to Earnings Ratio 3.2118036094968314 142.3517590083799 -1.5380503526093088 -0.7001529875541603 -1.2778700542547115 -1.2731662548837208
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Price to Sales Ratio 5.9748358549504275 1.3924024515027322 1.1267490784215406 1.0344450247407528 1.2156471117147707 1.8371190926174494
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Price to Book Ratio 3.4554500212074086 1.1706908727013772 0.9364933961430141 0.7530402659359471 0.715443793764988 1.0275178108108107
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Price to Free Cash Flows Ratio 26.279997849462365 7.496606314357164 5.49888643678161 8.762517788075806 -7.834731905022431 -17.382488953802188
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Price to Operating Cash Flow Ratio 23.982073920627997 6.5197888728970765 4.824808614743965 6.543150613572978 -10.333614501371049 -27.79697840060929
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Price Earnings to Growth Ratio 0.00019038893320171628 -1.400635914256831 0.03283478280851333 -0.01173495852379508 0.03691624601180276 0.023076138369767442
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EV to EBITDA
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Liquidity Ratios
Current Ratio 7.4656363263352254 10.814169660990471 7.980533814970901 8.789318991932962 11.08161714415989 8.473185600131806
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Quick Ratio 7.0043082814743896 10.497695672551163 7.653192282331355 8.327527984491276 10.455543734326316 8.132081170881731
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Cash Ratio 1.8985502290911578 1.6309561006092799 1.2501935150941774 1.5429303983490714 1.966486815107531 0.6285251393579921
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Debt Ratio 0.31965330922457225 0.6147444247558864 0.6122188373459401 0.6065531127116468 0.5855135000638417 0.554128874124395
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Debt to Equity Ratio 0.5915296039712836 2.0760713506311523 2.2766320203079022 2.1344658693739746 1.786980415667466 1.6718093093093094
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Long Term Debt to Capitalization 0.3707108751742341 0.6745478741299521 0.694514211198432 0.6806538930248627 0.640847496554892 0.6253625608662787
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Total Debt to Capitalization 0.3716736418193304 0.6749100115006049 0.6948085736200457 0.6809663777899987 0.6411887236887864 0.6257217921519592
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Interest Coverage Ratio 2.435272891294542 0.6156837329876863 -40.052666012430485 -43.74364056821936 60.631875 -11.824444444444444
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Cash Flow to Debt Ratio 0.24357986987119903 0.08649010506282193 0.08525734192803967 0.053919029557720266 -0.038743912190157735 -0.022110829198194758
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Margins
Gross Profit Margin 0.5616596495993481 0.5765027322404371 0.8926623208886052 0.8818976075773659 0.8794567062818336 0.860738255033557
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Operating Profit Margin 0.07332608990900448 0.025956284153005466 -1.8604944462171977 -2.1623581285212703 1.6470458404074704 -0.35711409395973154
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Pretax Profit Margin 0.5085698764090724 0.004098360655737705 -0.18300891948154563 -0.36924961214991425 -0.23769100169779286 -0.3624161073825503
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Net Profit Margin 0.4650685861741138 0.0024453551912568304 -0.18314567473522664 -0.36936392585939415 -0.23782682512733447 -0.36073825503355705
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Operating Cash Flow Margin 0.2491375797908461 0.2135655737704918 0.23353238820258013 0.15809586021066382 -0.11764006791171477 -0.06609060402684563
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Free Cash Flow Margin 0.22735298112182534 0.18573770491803276 0.20490495509869172 0.11805340083285702 -0.15516129032258064 -0.10568791946308724
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Return
Return on Assets 0.14534441996782668 0.0006087959105240066 -0.04093436170176636 -0.07640906449738524 -0.04586125725585461 -0.06687569208565065
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Return on Equity 0.2689649213754968 0.002055982449490599 -0.1522208610651545 -0.2688841864999168 -0.13996802557953636 -0.20176426426426428
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Return on Capital Employed 0.02616390360207993 0.007078485502144036 -0.4717143231393942 -0.5015036170132182 0.34755396327810123 -0.07466105410856792
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Return on Invested Capital 0.032733898245922564 0.005588399658813493 -0.5673903965926385 -0.6169672291098282 0.42690771847396064 -0.08080318156943149
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Turnover Ratios
Receivables Turnover Ratio 0.7004176060424455 0.6486716409974655 0.6775977101437338 0.6907189748911499 0.7347712728134629 0.5720702993770577
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Payables Turnover Ratio 3.580938644180628 5.651777575205105 0.7770322296777032 1.1537970644543714 1.5577007459412022 0.7269224032229813
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Inventory Turnover Ratio 0 0 8.68880688806888 8.808769792935445 8.616504854368932 9.987966305655837
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Fixed Asset Turnover Ratio 43.235466823253084 38.70967741935484 36.420033204205865 30.8023138832998 30.661114003123373 33.84440658716638
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Asset Turnover Ratio 0.31252254890725345 0.2489601153651245 0.223507116730685 0.2068666135156683 0.19283466964376333 0.18538563945603623
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Per Share Items ()
Revenue Per Share 6.02527012857974 6.025556756916941 5.502556087008798 5.152521277131935 4.984999299222509 5.0513872711312615
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Operating Cash Flow Per Share 1.5011212174204365 1.2868514860776301 1.2850250642178087 0.8145922835619215 -0.5864356561003865 -0.3338492359225846
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Free Cash Flow Per Share 1.3698631257968876 1.1191730828830972 1.1275010079365704 0.6082726596290807 -0.7734789235245249 -0.5338706110881849
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Cash & Short Term Investments 8.160669069300754 12.836164535564984 14.199489334434107 14.950347398660421 16.50449479359564 16.269789508861923
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Earnings Per Share 11.2086554400628 0.058938505982958043 -4.0310773892946195 -7.612621947982045 -4.742266226384307 -7.288914518746451
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EBITDA Per Share
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EBIT Per Share 0.441809499174277 0.15640106336259818 -10.237475039878504 -11.141596265985036 8.210522360218588 -1.8039215885697613
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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 34.00207836222634 10.432433254817257 7.072820394649602 5.4873481634398065 4.691706559074188 8.109112161901368
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Price Per Share 36.0 8.39 6.200000000000001 5.33 6.06 9.279999999999998
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Effective Tax Rate 0.08553650590183197 0.3333333333333333 -0.0007472600464961806 -0.0003095838308787758 -0.0005714285714285715 0.004629629629629629
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Short Term Coverage Ratio 59.174193548387095 52.45973154362416 61.476 37.52325581395349 -26.147169811320754 -14.428571428571429
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Capital Expenditure Coverage Ratio -11.436408977556109 -7.674521354933726 -8.15764331210191 -3.948205546492659 3.135294117647059 1.6690677966101695
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EBIT Per Revenue 0.07332608990900448 0.025956284153005466 -1.8604944462171977 -2.1623581285212703 1.6470458404074704 -0.35711409395973154
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Days of Sales Outstanding 128.4947711530626 138.7450819672131 132.82217258513015 130.2990120029395 122.48709677419353 157.323322147651
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Days of Inventory Outstanding 0 0 10.35815402038505 10.217090707964601 10.445070422535212 9.010843373493977
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Days of Payables Outstanding 25.133075135553835 15.924193548387096 115.82531143827859 78.0033185840708 57.777464788732395 123.80963855421687
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Cash Conversion Cycle 103.36169601750876 122.82088841882602 27.355015167236616 62.51278412683328 75.15470240799635 42.52452696692809
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Cash Conversion Ratio 0.5357007271559151 87.33519553072625 -1.275118227827097 -0.4280219294367318 0.4946459166190748 0.18320930232558139
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Free Cash Flow to Earnings 0.48885903688345067 75.95530726256983 -1.1188085953704472 -0.3196126978512689 0.6524129069103369 0.29297674418604647
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