HLGN 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
Price Ratios
Price to Earnings Ratio -0.14236828374384236 -0.03694362381188056 -0.3020653061389338 -0.5667010984988239 -0.9389931992137865 -0.9670574651360545
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Price to Sales Ratio 9.088289811320756 -2.4692065309584392 9.871276260448745 35.25905285150645 24.416731780072276 28.672434301059322
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Price to Book Ratio -0.3955215765704119 -1.4528731129132877 0.32007718887303854 0.5565117716825181 0.44606339323574906 1.0798720907487793
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Price to Free Cash Flows Ratio -0.5994764903546982 -0.6917826887661142 -1.3310441324079016 -3.377619548859263 -1.9179694820552333 -6.147907595557171
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Price to Operating Cash Flow Ratio -0.6057589939216098 -0.696374715943069 -1.354507150015092 -3.455263246045694 -1.9598545275153325 -6.669322388182535
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Price Earnings to Growth Ratio 0.0017511298900492612 -0.000111186098587679 0.017566259341617995 -0.008242925069073806 0.014545188772135125 -0.038835799790384394
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.6992491507670018 0.8182860952343605 2.0818756978042425 2.4307011275210417 2.8643422028173657 3.096589912066915
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Quick Ratio 0.6532290432790673 0.7821491946157391 1.8978904275948525 2.255578053041131 2.688874701375731 2.971748328101542
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Cash Ratio 0.5700874196043113 0.6148469132655562 1.2415724834975417 0.8634667301889789 0.807624186506302 0.8913997153385717
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Debt Ratio 0.15451004024707832 0.13706053273289545 0.10636575692242033 0.26415364025000326 0.08878625639818792 0.08084271392711578
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Debt to Equity Ratio -0.6549883673190092 -1.8303181534622583 0.20620542082738944 0.46034873188405795 0.1423303278379296 0.12360760907727171
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Long Term Debt to Capitalization -1.327317124960187 2.6481595722804854 0.15356564997947306 0.12966357239992904 0.11281806695617977 0.09997486444755646
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Total Debt to Capitalization -1.8984529948433162 2.2043576258452293 0.1709538170421619 0.3152320550791608 0.12459647123902938 0.1100095870468345
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Interest Coverage Ratio 0 -64.28874901652242 0 0 8.55861526357199 1.8014722930674705
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Cash Flow to Debt Ratio -0.9968658587547012 -1.139877300613497 -1.1459702525077828 -0.3498696443504353 -1.599098800609635 -1.3099218901297527
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Margins
Gross Profit Margin -0.5482180293501048 12.510814249363868 0.18213814342278928 -0.09182209469153516 -0.22973670624677336 0.263771186440678
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Operating Profit Margin -16.90461215932914 17.326335877862597 -8.686757589089309 -16.302725968436153 -5.615900877645844 -6.584533898305085
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Pretax Profit Margin -15.957023060796645 16.709711620016964 -8.169379674439067 -15.553084648493543 -5.443469282395457 -7.462076271186441
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Net Profit Margin -15.959119496855346 16.709287531806616 -8.169819621645402 -15.5545193687231 -6.500774393391843 -7.41228813559322
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Operating Cash Flow Margin -15.00314465408805 3.545801526717557 -7.287725472943247 -10.204447632711622 -12.45844088797109 -4.299152542372881
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Free Cash Flow Margin -15.160377358490566 3.569338422391857 -7.416190057193138 -10.439024390243905 -12.730511099638619 -4.663771186440678
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Return
Return on Assets -0.1638400447668037 -0.73623088206441 -0.1366455970978447 -0.14087371197650697 -0.07408366182267459 -0.18258105928952767
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Return on Equity 0.6945394826878336 9.831690580162196 -0.26490727532097 -0.24550498188405798 -0.11876108197834534 -0.27916440586001084
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Return on Capital Employed 1.7481842818428184 -16.238275039745627 -0.2327157438182118 -0.21948581252052307 -0.08959428072545177 -0.22147081878429417
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Return on Invested Capital 0.2390915915750697 1.4165165854013009 -0.9201334264379626 -0.37852402234640653 -0.1580417529604171 -0.3263007057254486
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Turnover Ratios
Receivables Turnover Ratio 0.15894701766077973 -1.007907672579611 0.4312274710681085 0.23951890034364262 0.1819462708998685 0.5133224578575313
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Payables Turnover Ratio 1.2602389078498293 72.76809651474531 1.0356545961002785 1.8011834319526627 0.7251141552511415 0.5020950729663344
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Inventory Turnover Ratio 0.8102029621503017 27.753067484662576 0.3730684326710817 0.35362453531598514 0.8213793103448276 1.423013923013923
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Fixed Asset Turnover Ratio 0.05043616177636796 -0.24201991173149953 0.11387205049847202 0.0678081525440218 0.0915839243498818 0.21608753376367715
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Asset Turnover Ratio 0.01026623334696425 -0.04406117739388787 0.016725656553764193 0.00905677048818202 0.011396128728599164 0.024632212880768608
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Per Share Items ()
Revenue Per Share 0.1584456514806862 -0.8099767981837008 0.38292920796324287 0.24319995310462883 0.3443130749735055 0.8522820121728262
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Operating Cash Flow Per Share -2.377183028975956 -2.8720169676055654 -2.790682943207707 -2.481721185734107 -4.289604091512976 -3.6640903794514808
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Free Cash Flow Per Share -2.402095867259083 -2.891081307003019 -2.8398757847058445 -2.538770242165394 -4.3832814227009145 -3.97484829109331
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Cash & Short Term Investments 10.085713450541041 12.89865723502844 15.435433300487565 18.80821904185848 21.31559235180584 25.861522590980652
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Earnings Per Share -10.114612342949467 -54.13654085977422 -12.513850227676935 -15.131433524153996 -8.953206484391082 -25.269439388032623
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EBITDA Per Share
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EBIT Per Share -2.678462286613235 -14.033930058606527 -3.3264132033586584 -3.964822191001287 -1.9336280999286488 -5.611879800067641
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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 -6.261056570080147 -8.379072920067692 -9.220219177694483 -3.1399452302888946 -10.22607886991365 1.3726597502416489
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Price Per Share 1.44 1.9999999999999998 3.78 8.575 8.407 24.437
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Effective Tax Rate -0.00013138014845956775 0.00002537974442597363 -0.00005385319618719371 -0.00009224666758913334 -0.19423368740515934 0.006672155816132421
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Short Term Coverage Ratio -7.711745689655173 -9.331473214285714 -9.536557282671271 -0.5172727272727272 -15.007462686567164 -12.92484076433121
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Capital Expenditure Coverage Ratio 95.42 150.64864864864865 56.72945205479452 43.50152905198777 45.791271347248575 11.79081929110982
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EBIT Per Revenue -16.90461215932914 17.326335877862597 -8.686757589089309 -16.302725968436153 -5.615900877645844 -6.584533898305085
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Days of Sales Outstanding 566.2264150943396 -89.29389312977099 208.7065552133744 375.7532281205165 494.65152297367064 175.32838983050848
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Days of Inventory Outstanding 111.0832769126608 3.2428847747996685 241.24260355029585 254.50722733245732 109.57178841309823 63.246043165467626
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Days of Payables Outstanding 71.41503046716318 1.2368057474440455 86.90155997848306 49.96714848883049 124.11838790931989 179.24892086330937
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Cash Conversion Cycle 605.8946615398372 -87.28781410241538 363.0475987851872 580.2933069641433 480.10492347744895 59.325512132666745
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Cash Conversion Ratio 0.9400985221674877 0.2122054288651159 0.892030156165859 0.656043905363649 1.9164548919949174 0.5800034299434059
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Free Cash Flow to Earnings 0.9499507389162561 0.21361404043095897 0.9077544426494347 0.6711248443481069 1.958306861499365 0.6291945349568399
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