ELAN 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
2020 (Q2)
06-30
2020 (Q1)
03-31
2019 (Q4)
12-31
2019 (Q3)
09-30
2019 (Q2)
06-30
2019 (Q1)
03-31
2018 (Q4)
12-31
2018 (Q3)
09-30
2018 (Q2)
06-30
2018 (Q1)
03-31
2017 (Q4)
12-31
2017 (Q3)
09-30
2017 (Q2)
06-30
2017 (Q1)
03-31
Price Ratios
Price to Earnings Ratio 61.53440625000001 -13.019007092198583 -1.2632180656934306 -12.772051546391753 11.204708737864078 -27.636435185185185
1234
Price to Sales Ratio 6.536434854771784 7.094415458937198 5.1853445692883895 4.688321665089877 3.6725059665871123 6.041973684210526
1234
Price to Book Ratio 1.300595112285337 1.1799325084364456 0.9028281708509945 0.6678646900269543 0.6171577540106953 0.8189696803402388
1234
Price to Free Cash Flows Ratio -358.01836363636363 63.29931034482759 33.56332121212121 260.81873684210524 -25.22590163934426 -90.44651515151516
1234
Price to Operating Cash Flow Ratio 3938.2020000000007 46.76891719745223 27.969434343434344 81.23862295081967 -31.836827586206894 459.19
1234
Price Earnings to Growth Ratio -0.5098565089285715 0.1497523095579319 -0.0012507109561321096 0.06541782499371385 -0.038516186286407766 -2.7636435185185224
1234
EV to EBITDA
1234
Liquidity Ratios
Current Ratio 3.2873376623376624 2.7453666398066074 2.8181818181818183 2.844236760124611 2.2484157160963245 1.926556991774383
1234
Quick Ratio 1.1550324675324675 1.0975020145044319 1.1889328063241107 1.2710280373831775 1.0076045627376427 0.799647473560517
1234
Cash Ratio 0.2800324675324675 0.28364222401289285 0.291699604743083 0.28582554517133957 0.20152091254752852 0.20270270270270271
1234
Debt Ratio 0.41122761965903415 0.402033143016293 0.41194924707194647 0.3837680425424158 0.3817616843173315 0.3767348783164418
1234
Debt to Equity Ratio 0.9519484808454426 0.9278483046762012 0.9633192044343006 0.8169811320754717 0.8048128342245989 0.8006585265468514
1234
Long Term Debt to Capitalization 0.4860392090299584 0.4796387657830922 0.48900366544485174 0.4480398720523693 0.4298345910511472 0.427730234749156
1234
Total Debt to Capitalization 0.48769139666694866 0.4812869884137701 0.4906584738022087 0.44963655244029077 0.44592592592592595 0.44464761904761907
1234
Interest Coverage Ratio 2.015151515151515 -0.3582089552238806 0.5833333333333334 0.7162162162162162 3.3125 0.0967741935483871
1234
Cash Flow to Debt Ratio 0.0003469210754553339 0.027190855559404224 0.033508207818581826 0.010062685582316067 -0.02408637873754153 0.002227553118574366
1234
Margins
Gross Profit Margin 0.5726141078838174 0.5014492753623189 0.5440074906367042 0.5894039735099338 0.6070007955449482 0.5465587044534413
1234
Operating Profit Margin 0.11037344398340249 -0.02318840579710145 0.03932584269662921 0.050141911069063384 0.16865552903739062 0.006072874493927126
1234
Pretax Profit Margin 0.00995850622406639 -0.12270531400966184 -1.0271535580524345 -0.07473982970671712 0.08591885441527446 -0.08906882591093117
1234
Net Profit Margin 0.026556016597510373 -0.13623188405797101 -1.0262172284644195 -0.09176915799432356 0.08194112967382657 -0.05465587044534413
1234
Operating Cash Flow Margin 0.0016597510373443983 0.15169082125603864 0.1853932584269663 0.05771050141911069 -0.11535401750198886 0.013157894736842105
1234
Free Cash Flow Margin -0.018257261410788383 0.11207729468599033 0.15449438202247193 0.017975402081362345 -0.14558472553699284 -0.06680161943319837
1234
Return
Return on Assets 0.0022826164491047862 -0.009817574154017546 -0.07640825432236475 -0.006140795138009623 0.006531802904432748 -0.0034858950358272545
1234
Return on Equity 0.005284015852047556 -0.02265788205045798 -0.17867623084447343 -0.01307277628032345 0.013770053475935828 -0.0074084236520784745
1234
Return on Capital Employed 0.010401188707280832 -0.0018291288773721515 0.003211254683079746 0.0036521499448732083 0.014939045874145586 0.00043512945101167595
1234
Return on Invested Capital 0.028505599314150993 -0.0020867467531786813 0.0033014723654455646 0.004600632687669749 0.01457400599619298 0.000273863298260799
1234
Turnover Ratios
Receivables Turnover Ratio 1.1178107606679035 1.0247524752475248 0.9409691629955947 0.8628571428571429 0.9944620253164557 0.9860279441117764
1234
Payables Turnover Ratio 1.705298013245033 1.9111111111111112 1.6452702702702702 1.2259887005649717 1.2965879265091864 1.1487179487179486
1234
Inventory Turnover Ratio 0.3144078144078144 0.2974063400576369 0.28816568047337277 0.25680473372781065 0.30952380952380953 0.29128738621586475
1234
Fixed Asset Turnover Ratio 1.2697576396206534 1.0087719298245614 1.0766129032258065 1.0496524329692154 1.257 0.988988988988989
1234
Asset Turnover Ratio 0.08595477566160212 0.07206517198161816 0.07445621862799777 0.06691567485439352 0.07971336165895111 0.06377896843328384
1234
Per Share Items ()
Revenue Per Share 2.443227899432279 2.1002435064935066 2.1676476557743047 2.1457572066585464 2.559560171044594 2.022517911975435
1234
Operating Cash Flow Per Share 0.0040551500405515 0.31858766233766234 0.4018672620255734 0.12383272431993504 -0.2952555487680717 0.02661207778915046
1234
Free Cash Flow Per Share -0.04460665044606651 0.2353896103896104 0.33488938502131116 0.03857084855866829 -0.37263286499694565 -0.13510747185261002
1234
Cash & Short Term Investments 0.6995133819951338 0.7142857142857143 0.7489344428658413 0.8262281770198945 0.6638159234371819 0.7349027635619243
1234
Earnings Per Share 0.259529602595296 -1.1444805194805194 -8.897909478384413 -0.787657328461226 0.8389330075341072 -0.44216990788126914
1234
EBITDA Per Share
1234
EBIT Per Share 0.26966747769667476 -0.048701298701298704 0.08524457073269738 0.1075923670320747 0.43168397475056 0.012282497441146366
1234
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
1234
Enterprise Value Per Share 26.959456609894566 25.902435064935062 22.48416480617008 21.53990255785627 20.994379963347587 23.431873080859773
1234
Price Per Share 15.97 14.9 11.24 10.059999999999999 9.4 12.219999999999999
1234
Effective Tax Rate -1.6666666666666667 -0.11023622047244094 0.0009115770282588879 -0.22784810126582278 0.046296296296296294 0.38636363636363635
1234
Short Term Coverage Ratio 0.05263157894736842 4.131578947368421 5.076923076923077 1.564102564102564 -0.3805774278215223 0.03350515463917526
1234
Capital Expenditure Coverage Ratio -0.08333333333333333 -3.8292682926829267 -6 -1.4523809523809523 3.8157894736842106 -0.16455696202531644
1234
EBIT Per Revenue 0.11037344398340249 -0.02318840579710145 0.03932584269662921 0.050141911069063384 0.16865552903739062 0.006072874493927126
1234
Days of Sales Outstanding 80.51452282157676 87.82608695652173 95.64606741573034 104.30463576158941 90.50119331742243 91.2753036437247
1234
Days of Inventory Outstanding 286.25242718446606 302.6162790697675 312.32032854209444 350.46082949308754 290.7692307692308 308.9732142857143
1234
Days of Payables Outstanding 52.77669902912621 47.093023255813954 54.70225872689939 73.41013824884793 69.41295546558705 78.34821428571428
1234
Cash Conversion Cycle 313.99025097691657 343.3493427704753 353.26413723092537 381.355327005829 311.8574686210661 321.9003036437247
1234
Cash Conversion Ratio 0.0625 -1.1134751773049645 -0.18065693430656934 -0.6288659793814433 -1.4077669902912622 -0.24074074074074073
1234
Free Cash Flow to Earnings -0.6875000000000001 -0.8226950354609929 -0.15054744525547445 -0.1958762886597938 -1.7766990291262137 1.222222222222222
1234

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.