KYMR 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
Price Ratios
Price to Earnings Ratio -14.36335654179624 -25.925076037374723 -3.8401263552877976 -8.640279900061856 -11.781344375700424 -10.6097178465063
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Price to Sales Ratio 271.19335223097113 31.115505273467683 171.75631135786801 81.2049221443711 182.1341576103951 89.52947853522524
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Price to Book Ratio 3.922601584076558 3.77234270369217 2.053077073078236 3.079583488820195 3.731738695338795 2.947900247229935
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Price to Free Cash Flows Ratio -59.36556539059009 -416.19161173743015 -20.44213568533669 -29.135600542543017 -35.935592803635075 -36.20527334886868
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Price to Operating Cash Flow Ratio -70.46465142077744 185.20397389931634 -25.660057512560435 -38.03428861385296 -39.21219832469068 -36.546849809793606
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Price Earnings to Growth Ratio -0.08160998035111501 0.358962591286727 -0.11186455034968806 -1.3608440842597425 -1.7377482954158114 0.49733052405498274
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EV to EBITDA
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Liquidity Ratios
Current Ratio 9.570560780960525 4.72998331213313 5.94772504195295 7.058386139701843 4.17582542110844 8.844356623458742
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Quick Ratio 9.309070810175289 4.593749635317595 5.724646170408131 6.807369693417823 3.2393336732959375 6.476493834966804
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Cash Ratio 1.6657759726378794 1.2832852925044638 1.2831428300034828 0.9594154060290832 0.40594772670244367 1.0811729370850458
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Debt Ratio 0.10022562599985488 0.14706500462867275 0.14635448913606264 0.12898297949118903 0.21386533747078132 0.028741540022615208
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Debt to Equity Ratio 0.12235747037062554 0.2143802962749164 0.20438899212459075 0.17238441257796927 0.2841809071330397 0.035366652317347105
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Long Term Debt to Capitalization 0.09784050922578501 0.16549545742657934 0.1633899696055061 0.14064559929898243 0.12311219676997508 0.026595543975390382
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Total Debt to Capitalization 0.10901827056064463 0.17653472880984894 0.16970347077320952 0.14703744840731142 0.22129351523180593 0.03415857777357405
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Interest Coverage Ratio -766.7536231884058 -371.38461538461536 1402.658536585366 -903.8125 -824.1090909090909 -666.051724137931
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Cash Flow to Debt Ratio -0.4549591477919123 0.09501145570068734 -0.3914624642826219 -0.46969797897709864 -0.33488457115002324 -2.280703778482838
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Margins
Gross Profit Margin 0.8541848935549723 0.9819358880651561 0.8096446700507615 0.9454974868285593 0.9049228818930911 0.9493153231303054
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Operating Profit Margin -5.142996014387091 -0.4032995718909888 -12.16349407783418 -2.6272028099073457 -4.788294950348616 -2.3936427287936057
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Pretax Profit Margin -4.720229415767474 -0.30005220841599667 -11.18168358714044 -2.349603342820808 -4.323684766532854 -2.1602949377284837
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Net Profit Margin -4.720229415767474 -0.30005220841599667 -11.18168358714044 -2.349603342820808 -3.8648848510458484 -2.109610260858789
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Operating Cash Flow Margin -3.8486439195100615 0.16800668267724758 -6.693527918781726 -2.1350451159692363 -4.644834143249525 -2.449718074230126
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Free Cash Flow Margin -4.568192864780792 -0.07476245170721521 -8.402072758037225 -2.78713740689154 -5.0683498837946335 -2.4728297911890453
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Return
Return on Assets -0.055925072358108424 -0.024954885637914474 -0.09570801154282031 -0.06667124900119427 -0.05959391111002517 -0.05645014209114393
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Return on Equity -0.06827445890976275 -0.03637735428677042 -0.13365947387715374 -0.08910543189689225 -0.0791874546812264 -0.0694622677501423
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Return on Capital Employed -0.06514594607906515 -0.039406776202486185 -0.11755435271416073 -0.08226713922437578 -0.09243375302327668 -0.07155558519210038
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Return on Invested Capital -0.07368233317164713 -0.06847402430333462 -0.13851253378891912 -0.10224558989695194 -0.09203860489127201 -0.08001340970029153
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Turnover Ratios
Receivables Turnover Ratio 5.067490181029646 2.552233237394734 1.2514557967178401 4.006065016982047 2.8512048192771084 6.3614505321245565
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Payables Turnover Ratio 0.22019964768056371 0.12226148409893993 0.1807955002008839 0.24032042723631508 0.13882461823229986 0.1886966551326413
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Inventory Turnover Ratio 1500000 865000 0 900000 -0.06133714986710284 -0.06677551020408164
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Fixed Asset Turnover Ratio 0.10426189631581614 0.473738363062555 0.05189901207464325 0.198518892535555 0.12785671835323356 1.2103644817759112
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Asset Turnover Ratio 0.01184795640891862 0.08316847847797429 0.008559356093110152 0.02837553377037349 0.015419323836749986 0.026758564431784645
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Per Share Items ()
Revenue Per Share 0.14535754536647566 0.8182415736539507 0.08092861269614855 0.28311091732994903 0.16268227985758613 0.2787908564683478
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Operating Cash Flow Per Share -0.5594294331295945 0.137470052418211 -0.5416979285099435 -0.6044545813228781 -0.7556322079841906 -0.6829590000206083
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Free Cash Flow Per Share -0.6640213015851842 -0.06117374613513926 -0.6799680920800552 -0.7890690279896795 -0.8245307142116428 -0.6894023353860395
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Cash & Short Term Investments 7.355399834280812 6.405831040471269 6.124847892977867 6.301956781120252 6.8207115131036575 7.033531065418631
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Earnings Per Share -2.744483845770374 -0.9820607647705931 -3.6196725612582785 -2.660793430990055 -2.5149931158207433 -2.3525602057569457
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EBITDA Per Share
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EBIT Per Share -0.747573276480875 -0.3299964763580473 -0.9843747012569389 -0.7437897975246883 -0.7789707391532801 -0.6673257064396024
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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 33.29422580539413 20.501047669094866 9.158932106217298 17.974943755772088 25.06568449041864 18.22591992267721
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Price Per Share 39.42 25.459999999999997 13.9 22.989999999999995 29.63 24.96
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Effective Tax Rate -0.0008031797681075849 -0.34771714922048996 0.016929275351353395 -0.11938452021959328 0.10611317435496481 0.023461924566183852
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Short Term Coverage Ratio -4.003134479271992 1.267927501970055 -8.803059805285118 -9.285225177771926 -0.6618796007767692 -10.026883083946235
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Capital Expenditure Coverage Ratio 5.348689543366658 -0.6920430107526881 3.917677642980936 3.274145616641902 10.967323522075331 105.99463806970509
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EBIT Per Revenue -5.142996014387091 -0.4032995718909888 -12.16349407783418 -2.6272028099073457 -4.788294950348616 -2.3936427287936057
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Days of Sales Outstanding 17.760271216097987 35.26323483345516 71.91624365482234 22.46593592926785 31.565603211493766 14.147716711072558
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Days of Inventory Outstanding 0.000059999999999999995 0.00010404624277456647 0 0.0001 -1467.3 -1347.7995110024451
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Days of Payables Outstanding 408.71999999999997 736.1271676300578 497.8 374.5 648.3 476.95599022004893
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Cash Conversion Cycle -390.959668783902 -700.8638287503599 -425.8837563451777 -352.03396407073217 -2084.0343967885065 -1810.6077845114216
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Cash Conversion Ratio 0.8153510307473691 -0.5599248329621381 0.5986153933455652 0.9086832134848836 1.2018040180401803 1.1612183158574911
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Free Cash Flow to Earnings 0.967790431863583 0.24916481069042318 0.7514139255111884 1.1862161395912265 1.3113844471778051 1.1721737598026258
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