EOSE 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
Price Ratios
Price to Earnings Ratio -1071.333902337394 -1.3168309031620076 4.9677073951915345 -0.9670521170705766 -0.778875730900838 -0.540192163813965
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Price to Sales Ratio 30322.595915997576 32.83749945990923 433.788344005848 2044.8685971084337 25.248444745897 45.884319534883716
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Price to Book Ratio -1355.4235076249552 -1.9589880092960292 -2.3120775751766915 -2.218219318901634 -1.2703520523129666 -0.9217592805419295
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Price to Free Cash Flows Ratio -4496.348630638422 -4.663355278332796 -6.8871275080079855 -9.734304790563405 -6.683745597902621 -3.1348366531700065
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Price to Operating Cash Flow Ratio -4945.383595431635 -5.671697711784688 -9.273385026253282 -11.28884978449805 -7.319050112540192 -3.2423557008057675
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Price Earnings to Growth Ratio 10.723551929973913 0.004526606229619401 -0.04523440880174405 -0.026432757866595755 -0.03783110692946928 0.013750345987991833
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EV to EBITDA
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Liquidity Ratios
Current Ratio 1.340367523605613 2.00970921636274 2.3190193228454175 1.4862805232220442 0.7616082574673446 0.9103770470153196
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Quick Ratio 0.8364165678285916 1.5350911779201577 1.325517270861833 0.6239399642201622 0.3604421033401334 0.3406794770206022
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Cash Ratio 0.4894102062506739 1.1978314440611137 1.2390988372093024 0.5400199809483981 0.24551654842736656 0.28189381933438984
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Debt Ratio 1.3497128762477357 1.101682645904382 1.3761406560313607 2.1814869206057823 2.153512158435698 1.6955744091096379
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Debt to Equity Ratio -1.4229141413799409 -1.8542870036101082 -1.6522352354458392 -1.0354272221520338 -1.2230220334060378 -1.364370700243386
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Long Term Debt to Capitalization 3.571759460824437 2.2348568435365053 2.6204841336986853 61.517005009227525 7.554083308450283 4.183281362437035
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Total Debt to Capitalization 3.3645461386962996 2.170566795203634 2.5331891711070225 29.22688145597639 5.483861906950615 3.744457771527835
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Interest Coverage Ratio 10.940473400515584 -4.9305312317571515 -2.9925911093311974 -1.7611993484015476 -2.0590292724924666 -6.373279139897732
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Cash Flow to Debt Ratio -0.1926177626757279 -0.1862694994037624 -0.15090103898921395 -0.18977334404833532 -0.14191721883599756 -0.20836485941668
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Margins
Gross Profit Margin 1 -3.5915279878971256 -30.084795321637426 -44.16465863453815 -2.0492359932088284 -10.549887471867967
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Operating Profit Margin -7.072110286320254 -6.388804841149773 21.849415204678362 -138.9437751004016 -4.33106960950764 -18.232933233308326
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Pretax Profit Margin -7.072110286320254 -6.2332829046898635 21.849415204678362 -528.6265060240963 -8.102999434069044 -21.232933233308326
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Net Profit Margin -7.07589759127405 -6.234190620272314 21.830409356725145 -528.6345381526104 -8.10413129598189 -21.235183795948988
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Operating Cash Flow Margin -6.131495227995758 -5.789712556732224 -46.77777777777778 -181.140562248996 -3.4496887379739674 -14.151537884471118
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Free Cash Flow Margin -6.743826692925315 -7.04160363086233 -62.985380116959064 -210.06827309236948 -3.7775891341256367 -14.636909227306827
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Return
Return on Assets -0.30002183939055255 -0.2209639019368123 0.09691195368579551 -1.2081688848095458 -0.7179744296816245 -0.5301438363861108
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Return on Equity 0.3162934321101352 0.371913357400722 -0.11635536230528867 0.5734487520747927 0.4077518408628849 0.426588602301241
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Return on Capital Employed -0.5143508775795771 -0.33616723185429304 0.13929017466027924 -0.5249207240285849 -1.1241517083345574 -1.0518696442482471
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Return on Invested Capital -0.7918220655048483 -0.8012929178803029 0.3027329494769283 -0.8108921782784204 -2.1365757603982933 -1.6685252697803803
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Turnover Ratios
Receivables Turnover Ratio 0.29301313920454547 0.3219835354863851 0.16918130101409845 0.06893687707641195 1.1703536892303616 0.7486661050266779
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Payables Turnover Ratio 0 1.4776046738072055 1.5377160627757287 0.7302123238750731 0.828133165288494 0.8881709884911593
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Inventory Turnover Ratio 0 1.252527753703933 1.0337417347335667 0.676247745039086 1.914031971580817 1.323817712811694
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Fixed Asset Turnover Ratio 0.1420272392796437 0.15780175706646296 0.028173655161051157 0.010426699049453541 0.3588983222975992 0.08467524217881531
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Asset Turnover Ratio 0.04240053442273352 0.035443879630225425 0.004439309959890445 0.0022854520422212025 0.0885936324893457 0.02496535191219987
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Per Share Items ()
Revenue Per Share 0.000032790728167024375 0.033193757683369386 0.004956334188571501 0.002122385764120501 0.10178844779806241 0.03225502775245092
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Operating Cash Flow Per Share -0.00020105619327861606 -0.19218231566453048 -0.23184629926540026 -0.3844501506220525 -0.35113846202482696 -0.4564582472034764
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Free Cash Flow Per Share -0.00022113498789323694 -0.23373728462517823 -0.3121765928538559 -0.44584591230462267 -0.38451493438147516 -0.47211391333688657
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Cash & Short Term Investments 0.00015783363218464862 0.3661457277170694 0.42005656858404966 0.19811490889740083 0.1857999205024734 0.20659671939266758
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Earnings Per Share -0.0009280953378126796 -0.827744851205014 0.4327952169809922 -4.487865672790065 -3.299627781478786 -2.739765770666922
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EBITDA Per Share
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EBIT Per Share -0.00023189964596594437 -0.21206843978346282 0.10829300357924135 -0.2948922902862529 -0.440852852857143 -0.5881037674489448
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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 0.9951859755704852 1.7555976134079925 3.266356307154812 6.167723612049634 4.858448552690971 3.464071363898041
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Price Per Share 0.9943 1.09 2.15 4.34 2.57 1.48
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Effective Tax Rate -0.000535526851316325 -0.000145623998835008 0.0008698561391769822 -0.000015194335551706323 -0.0001396843134515994 -0.00010599395834437437
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Short Term Coverage Ratio -8.043322734499204 -7.765827922077922 -7.096030161898425 -10.395021894445724 -2.4638641875505254 -5.65976597659766
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Capital Expenditure Coverage Ratio 10.01335972290945 4.624773413897281 2.886162727764748 6.261835346383451 10.520538488091129 29.15610510046368
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EBIT Per Revenue -7.072110286320254 -6.388804841149773 21.849415204678362 -138.9437751004016 -4.33106960950764 -18.232933233308326
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Days of Sales Outstanding 307.1534615967278 279.517397881997 531.9736842105264 1305.5421686746988 76.89983022071307 120.21380345086271
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Days of Inventory Outstanding 0 71.85469522240527 87.06236478224062 133.08731993597723 47.02115812917595 67.98519095869057
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Days of Payables Outstanding 0 60.90939044481054 58.52836045527232 123.25182287035389 108.6781737193764 101.33183943881528
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Cash Conversion Cycle 307.1534615967278 290.46270265959174 560.5076885374947 1315.3776657403223 15.242814630512626 86.867154970738
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Cash Conversion Ratio 0.866532499785904 0.9287031644340905 -2.1427806054111977 0.342657448909823 0.42567039106145255 0.6664193736420964
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Free Cash Flow to Earnings 0.9530701378778796 1.129513686662784 -2.885212965443343 0.39737901694142674 0.4661312849162011 0.6892763146273824
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