NXL 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
Price Ratios
Price to Earnings Ratio -3.3927322680441088 -0.9640194171921775 -0.35500121054471356 -1.979261573591655 -2.053588147262986 -1.8137582794398175
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Price to Sales Ratio 179.60198548385046 146.58747066614725 135.2805334632771 183.20967369724255 190.74769633507856 142.03713663335415
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Price to Book Ratio 6.072001175769353 0.9387785942584672 1.0078251200299564 1.6306716261457548 1.2310905804378391 0.9961574621802632
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Price to Free Cash Flows Ratio -17.031724801319193 -2.897745772099699 -4.568040576337076 -7.874573003593055 -4.270997512538054 -6.020842619120377
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Price to Operating Cash Flow Ratio -18.51129493547005 -2.998237400874476 -4.652756268631596 -7.983305525795998 -4.434072973090156 -6.020842619120377
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Price Earnings to Growth Ratio -0.08481830670110269 0.01423076282521786 -0.0019525066579959244 -0.15300006132367241 0.7898415951011478 -0.006405831000457271
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EV to EBITDA
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Liquidity Ratios
Current Ratio 5.053503094299746 8.065001728269074 3.561471921141115 4.322503997476791 4.915135297010985 3.8099103841689987
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Quick Ratio 4.2340509006886515 6.954935677822428 3.3011173067685817 3.9834959805381436 4.580866188629496 3.5910006536732433
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Cash Ratio 1.07695234640385 1.3643449860210073 0.3019000480337489 0.19593935842505755 0.146356500179013 0.08350136943005235
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Debt Ratio 0 0.0012288279795017285 0.11674835416475426 0.10249726554552584 0.09156537766886384 0.10162085300914837
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Debt to Equity Ratio 0 0.0013918016861912878 0.15992717255766073 0.1328542449286251 0.1146827189442768 0.1378541975476971
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Long Term Debt to Capitalization 0 0 0 0 0 0.000813948186717489
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Total Debt to Capitalization 0 0.0013898672665860713 0.13787690843125813 0.11727390838085751 0.10288373273866983 0.12115277848849212
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Interest Coverage Ratio -3531.940789473684 -84.82872062663185 -453.19643527204505 -158.90902500906125 -88.20029421749463 -53.320761707172494
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Cash Flow to Debt Ratio 0 -224.9675106430652 -1.354417688139326 -1.537475941917521 -2.420968793391108 -1.2001919868654503
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Margins
Gross Profit Margin -3.2655235092982164 -19.80049668874172 0.8352341060838552 0.7362408553742262 0.7673429319371727 0.8212835727670206
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Operating Profit Margin -13.648104129857254 -79.10352551616673 -100.17571434495915 -24.672481710748453 -25.504777486910996 -18.728320841140953
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Pretax Profit Margin -13.234317601149089 -38.01465718737826 -95.26765645087713 -23.14116488463703 -24.489986910994766 -18.990136373100146
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Net Profit Margin -13.234317601149089 -38.01465718737826 -95.26765645087713 -23.14116488463703 -23.221269633507852 -19.57773787216323
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Operating Cash Flow Margin -9.70229182290806 -48.89121542656798 -29.075353543731598 -22.94909960607766 -43.01861910994764 -23.590906724963563
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Free Cash Flow Margin -10.545143699711456 -50.58672574990262 -29.614564757599638 -23.265981992121553 -44.66115837696335 -23.590906724963563
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Return
Return on Assets -0.3673535129718687 -0.21494687652467734 -0.5181122508241863 -0.15890595543993657 -0.11966026993125169 -0.10121652779227937
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Return on Equity -0.4474270805982156 -0.2434542752761072 -0.7097335798401578 -0.20596969696969697 -0.14987067661042835 -0.13730570846628035
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Return on Capital Employed -0.46141641530442584 -0.5065964788633568 -0.7462980722293008 -0.2195992987728525 -0.16460849553402945 -0.13124153087185286
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Return on Invested Capital -0.6029581690009873 -0.6185170385402491 -0.8569469237371256 -0.23499366000704175 -0.16206938278940664 -0.13944115908266053
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Turnover Ratios
Receivables Turnover Ratio 21.45962902345881 2.19190948873946 1.6649174894704135 2.4814969976260297 8.608450704225351 7.881846153846154
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Payables Turnover Ratio 2.214857105141575 2.6775420913410306 0.054762987773780476 0.19327436547700047 0.12984404105336206 0.010430352675635322
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Inventory Turnover Ratio 2.1837532863055418 2.7308464390742873 0.025047440722738134 0.05858493690901023 0.04492323245087509 0.04448403187147762
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Fixed Asset Turnover Ratio 0 41.403225806451616 11.688317983519147 9.787937207380887 5.913312693498452 5.757267006293078
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Asset Turnover Ratio 0.027757646751652137 0.00565431579364721 0.005438490565697295 0.006866808833181564 0.005153045971206681 0.00516998074308651
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Per Share Items ()
Revenue Per Share 0.010578947637362533 0.0027614911299065348 0.003251761275168346 0.004877471707507601 0.004194021817147785 0.005273268792607542
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Operating Cash Flow Per Share -0.10264003715695505 -0.135012657730817 -0.09454610871533516 -0.11193358404141761 -0.18042102709069105 -0.12440119222206578
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Free Cash Flow Per Share -0.11155652302771092 -0.13969479444937055 -0.09629949485972776 -0.11347916891395421 -0.18730987261207685 -0.12440119222206578
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Cash & Short Term Investments 0.28829746864209566 0.3964779692551477 0.5309518100657472 0.6445624150319451 0.7510563966929809 0.9598401825168028
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Earnings Per Share -0.5600206116751261 -0.41990855451753106 -1.2391507040920167 -0.451481508014342 -0.38956204585921317 -0.41295469660451667
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EBITDA Per Share
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EBIT Per Share -0.14438257893903123 -0.21844368405722966 -0.3257475086192643 -0.1203393314981743 -0.10696759322160437 -0.09875946982953002
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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 0.008922173660355415 -0.02124608503477765 0.32184105524663065 0.12346791257660339 -0.10718910536958304
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Price Per Share 1.8999999999999997 0.4048 0.43990000000000007 0.8936 0.8 0.749
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Effective Tax Rate 0.0000028814098161948676 -0.000003842857856530745 -0.0200527688405264 -0.00800182871150009 0.05180555147284792 -0.030942458101324285
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Short Term Coverage Ratio 0 -224.9675106430652 -1.354417688139326 -1.537475941917521 -2.420968793391108 -1.207326347867666
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Capital Expenditure Coverage Ratio 11.511265608976293 28.835693156035497 53.92201199815413 72.42150594920973 26.190313969240577 0
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EBIT Per Revenue -13.648104129857254 -79.10352551616673 -100.17571434495915 -24.672481710748453 -25.504777486910996 -18.728320841140953
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Days of Sales Outstanding 4.1939215212721335 41.06008959875341 54.056732882677395 36.26842993809792 10.454842931937174 11.418644597126796
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Days of Inventory Outstanding 41.213446850610744 32.956814675565774 3593.1814749559526 1536.2310646468957 2003.4177215189873 2023.1979030144169
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Days of Payables Outstanding 40.63467561454586 33.612916970027555 1643.4457588723885 465.65927032216774 693.1392405063291 8628.663171690694
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Cash Conversion Cycle 4.772692757337012 40.40398730429163 2003.7924489662414 1106.8402242628258 1320.7333239445954 -6594.04662407915
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Cash Conversion Ratio 0.7331161390645216 1.2861148578975214 0.30519648143883676 0.991700276130573 1.8525524137522864 1.204986341067856
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Free Cash Flow to Earnings 0.7968029797619379 1.330716347133036 0.3108564423737011 1.0053937262063841 1.9232866713075045 1.204986341067856
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