NIO Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2023
12-31
2022
12-31
2021
12-31
2020
12-31
2019
12-31
2018
12-31
2017
12-31
2016
12-31
Price Ratios
Price to Earnings Ratio -5.1755128266945425 -7.624552410938232 -79.03471795412048 -70.92226896108008 -2.5507990922194934 -1.505819998694992 -13.548019929493336 -28.413710695540964
Price to Sales Ratio 1.9678257182658372 2.234212931653636 8.7855522183556 23.138090813612255 3.682209886233404 2.938109188838939 0 0
Price to Book Ratio 4.284248051530189 4.611852486781703 9.146618449844095 13.845922564560233 -4.573710319471051 2.1276866718530543 -5.820284199769823 -18.45589365448313
Price to Free Cash Flows Ratio -6.961213093094752 -10.15572078601665 -150.29432764925895 456.96534799907624 -2.7629053275125472 -1.3781214804063686 -11.871661413227521 -25.23307760083938
Price to Operating Cash Flow Ratio -79.22023512368477 -28.47289920511442 161.45275202889277 192.82315194758073 -3.3035897870929505 -1.8386637488122601 -14.762278420865421 -32.734069532601225
Price Earnings to Growth Ratio -0.1260995114128339 -0.031008945211949746 1.8345882716811381 1.1987939761218005 0.040959269796655366 -0.0018423193345670108 -0.13982251337489918 0
EV to EBITDA
Liquidity Ratios
Current Ratio 1.2176907807860036 1.290013136597981 2.1796350330664764 3.3060978489207398 0.5188000494375219 1.416162616226014 5.134342365898596 1.2043340926138748
Quick Ratio 1.0163731115387913 0.9935807455866644 1.9432877806787223 3.1216513168062368 0.2502106042642179 1.0628085367048565 4.950190112658896 1.0517531122473558
Cash Ratio 0.5698301827000728 0.43373356840241006 0.5251605992050455 2.749347535531731 0.09083607734740323 0.36468127930015015 4.637558896617515 0.8000605589314101
Debt Ratio 0.429186937667623 0.2462603618125897 0.24249540026621189 0.1726008245426328 0.7248629803163881 0.17178479857717788 0.06937463137777351 0.03224101061973094
Debt to Equity Ratio 1.9720847688189487 0.9932053427651435 0.5790531837522894 0.34713462644012916 -1.677857118592895 0.4734305381523966 -0.06258816079063084 -0.014618504462610798
Long Term Debt to Capitalization 0.4752354516898513 0.4216730803618807 0.2578003991036878 0.20378243938558666 3.567649106332057 0.14590934001311423 -0.05860955078732284 -0.009696745280981942
Total Debt to Capitalization 0.663535841746068 0.4982955450978697 0.36670910752751895 0.2576836936909935 2.4752371444823265 0.321311745544553 -0.0667669834887288 -0.014835375465051153
Interest Coverage Ratio -56.14250241617724 -46.938499351771824 -7.054020175397311 -10.815687241059587 -29.900438823758016 -77.60736960442564 -273.9214775492148 -47318.90909090909
Cash Flow to Debt Ratio -0.02742286981664725 -0.1630814896606929 0.09783554237716188 0.20685441005543068 -0.8251398560809947 -2.444269515185068 -6.299391641054452 -38.56844539434498
Margins
Gross Profit Margin 0.054870719485386125 0.1044072101070701 0.18876890499095608 0.11523106904180255 -0.15320596904447645 -0.0516798955237054 0 0
Operating Profit Margin -0.4073359576307879 -0.3174571914125927 -0.12442579056593399 -0.28340902868771817 -1.4158881693628447 -1.9380481910239011 0 0
Pretax Profit Margin -0.367847507026196 -0.29191031173003 -0.1099910746561717 -0.32585409227605994 -1.4425434484563644 -1.942355656873899 0 0
Net Profit Margin -0.38021849895068915 -0.293028732866787 -0.11116067021907508 -0.32624577798420007 -1.4435515119418718 -1.9511689254925755 0 0
Operating Cash Flow Margin -0.024839937866802782 -0.07846805186780267 0.05441562381533999 0.11999643497116147 -1.1146086904069366 -1.5979589474893918 0 0
Free Cash Flow Margin -0.2826843097531151 -0.21999550585615843 -0.05845564736720068 0.05063423499161917 -1.3327311108225737 -2.13196676099452 0.0 0.0
Return
Return on Assets -0.18015326417829358 -0.1499741881499222 -0.04846494302292682 -0.0970698161113602 -0.7746282770388127 -0.5126997128626738 -0.4761862638199303 -1.432560020514234
Return on Equity -0.827791987961591 -0.6048686189323729 -0.1157291211585482 -0.1952267287466288 1.7930500028096639 -1.412975437766133 0.4296040476807512 0.6495418304297531
Return on Capital Employed -0.3802156801451961 -0.3102574590020672 -0.08375273158281679 -0.11330546987658319 -2.179582193870716 -0.9362330554505606 -0.5597587213769787 -2.4930621613103776
Return on Invested Capital -0.8609396313484726 -0.5143635222538052 -0.11848525898518497 -2.0593208653238864 -2.627028216203813 -1.3516756050029535 0 0
Turnover Ratios
Receivables Turnover Ratio 6.180297031980392 7.580797941138547 8.308868261051211 3.9460667203069875 5.577758832569664 5.862329411040359 0 0
Payables Turnover Ratio 3.7249634757391537 1.749330619270688 2.3194090414337665 2.2587849446308117 2.8999353729264943 1.8143318026462454 0 0
Inventory Turnover Ratio 9.959997354921418 5.3867035444306985 14.2558229330387 13.29986972436857 10.144397927889846 3.5537185401152986 0 0
Fixed Asset Turnover Ratio 1.4839223365905865 2.1390309572449624 3.4787067441029893 2.561707499004967 1.0390623174149247 1.020195926074512 0 0
Asset Turnover Ratio 0.473815094940075 0.5118071073873208 0.4359900217173238 0.29753585383122183 0.5366128403667281 0.26276541521551855 0 0
Per Share Items ()
Revenue Per Share 32.71250619527872 30.096873958307423 22.97728395242341 13.746909481955774 7.597497933127517 14.906286725615908 0 0
Operating Cash Flow Per Share -0.8125766213581246 -2.3616430668191866 1.2503232398533206 1.6495801297059485 -8.46823722161267 -23.81963424704029 -2.9088274029099797 -1.3998607766859792
Free Cash Flow Per Share -9.247312234106866 -6.621177011146884 -1.3431520081789017 0.6960642451178662 -10.125421859889244 -31.77970782886696 -3.617094398611706 -1.8159948907094747
Cash & Short Term Investments 29.25838239998043 23.85987121509302 33.31290306043666 33.406795977167924 0.945537451922601 24.953996305036473 4.772648261058608 0.36961608658410705
Earnings Per Share -12.437900002483996 -8.819248839254223 -2.5541702839653846 -4.484871178819038 -10.967379628341474 -29.084683453504233 -3.1695347529360984 -1.6127122744017783
EBITDA Per Share
EBIT Per Share -13.324980037556939 -9.554469077103077 -2.858966720838231 -3.895998263739069 -10.757207440273916 -28.8891020234635 0 0
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Enterprise Value Per Share 64.74547742642301 57.864321791373044 181.33507170561128 292.64503895297605 37.292834739588194 28.587394901363393 38.63003496444916 45.489819407371456
Price Per Share 64.372511 67.242825 201.86812799999998 318.0772400000001 27.975581999999996 43.796298 42.94092 45.82314
Effective Tax Rate -0.012749207949315795 -0.003831386188889849 -0.010633549736280922 -0.0012020278935404968 -0.0006988097908496315 -0.002292206404639316 -0.0015770152323793581 -0.001679291847999564
Short Term Coverage Ratio -0.050709643423422324 -0.6133508400794911 0.2444986479988929 0.7873804032930514 -4.800578818947349 -3.824231022808785 -54.58114895901688 -112.42794403023184
Capital Expenditure Coverage Ratio 0.09633694032210681 0.5544369636880394 -0.48210340191293244 -1.7299975347747512 5.110014313443916 2.992388701207732 4.106964492998879 3.3639654368902367
EBIT Per Revenue -0.4073359576307879 -0.3174571914125927 -0.12442579056593399 -0.28340902868771817 -1.4158881693628447 -1.9380481910239011 0 0
Days of Sales Outstanding 59.058650112006134 48.14796579912289 43.928967042476785 92.49716892055098 65.43846927706717 62.26193965023628 0 0
Days of Inventory Outstanding 36.64659607762313 67.75943710089128 25.603572779659824 27.443877839737933 35.980449760996734 102.70931585599284 0 0
Days of Payables Outstanding 97.987537965744 208.65123835320043 157.36767145409223 161.59130193762545 125.86487388912296 201.17599188177098 0 0
Cash Conversion Cycle -2.2822917761147323 -92.74383545318625 -87.83513163195562 -41.65025517733653 -24.445954851059057 -36.20473637554187 0 0
Cash Conversion Ratio 0.06533069257638696 0.26778279078685036 -0.4895222717540103 -0.36780992450720035 0.7721294884084601 0.818975193081237 0 0
Free Cash Flow to Earnings 0.7434785801670756 0.7507642807033875 0.5258662731341623 -0.15520272876625965 0.923230726300704 1.0926612930022457 0 0

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