PEV Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
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 -0.4694642561983471 -2.1401878605680564 -1.2345775402581052 -1.6599729524205633 -1.1470848056537104 -1.8670118898161587
1234
Price to Sales Ratio -214.23666 80.58401791666667 13.548369068739206 7.016438172836609 11.86521987435751 75.48388413202935
1234
Price to Book Ratio -4.648656602603844 4.600237296333003 2.0375339456623376 1.1606089333911023 1.6915811757042827 1.8619449134551596
1234
Price to Free Cash Flows Ratio -21.60888501440922 -89.26229676923077 -12.190374033877234 -10.80058460313051 -17.532489451476792 -4.689793196111196
1234
Price to Operating Cash Flow Ratio -20.26563 -26.86133930555556 -26.501708414864865 -11.506700171106814 -33.348314606741575 -5.260335425115011
1234
Price Earnings to Growth Ratio -0.0014193105419950025 0.16051408954260427 -0.01872580698646522 0.0273491245742643 -0.12044390459363946 -0.02053713078797775
1234
EV to EBITDA
1234
Liquidity Ratios
Current Ratio 0.5528903593419723 0.648438667264306 0.9245344129554656 1.3034510115033717 1.6122363750261015 3.163060686015831
1234
Quick Ratio 0.05624483043837883 0.2055879276856417 0.3608097165991903 0.36215787385957954 0.37941115055335145 0.749868073878628
1234
Cash Ratio 0.002849002849002849 0.027790228597041687 0.061862348178137655 0.026378421261404203 0.029024848611401127 0.3474934036939314
1234
Debt Ratio 0.5989171536610519 0.30391658189216686 0.27148969272656553 0.20638432364096082 0.20026414909749057 0.00843121009795799
1234
Debt to Equity Ratio -1.4401735895846248 0.9474727452923687 0.6345454545454545 0.36388966285873503 0.3333333333333333 0.010433628852300826
1234
Long Term Debt to Capitalization -2.316655243317341 0.4416159380188157 0.3486719675181864 0.22772916367809495 0.2154082023763894 0.008846912547073944
1234
Total Debt to Capitalization 3.271830985915493 0.4865139949109415 0.3882091212458287 0.266802860061287 0.25 0.010325892324221082
1234
Interest Coverage Ratio -22.81967213114754 -21.675213675213676 1580.5 -3673 -4556 -1863
1234
Cash Flow to Debt Ratio -0.1592767972449419 -0.18075313807531382 -0.12116250511665984 -0.2771822358346095 -0.15217391304347827 -33.92485549132948
1234
Margins
Gross Profit Margin 3.6476190476190475 -0.017361111111111112 -0.05267702936096719 0.09713644020213363 0.14505996573386637 0.29584352078239606
1234
Operating Profit Margin 106.05714285714286 -8.805555555555555 -2.7297063903281518 -2.0623245367770915 -2.6019417475728157 -9.11002444987775
1234
Pretax Profit Margin 114.08571428571429 -9.413194444444445 -2.724525043177893 -1.5597978663672094 -2.5888063963449457 -9.60880195599022
1234
Net Profit Margin 114.08571428571429 -9.413194444444445 -2.743523316062176 -1.0567097136440202 -2.5859508852084523 -10.10757946210269
1234
Operating Cash Flow Margin 10.571428571428571 -3 -0.5112262521588946 -0.609769792251544 -0.35579668760708166 -14.34963325183374
1234
Free Cash Flow Margin 9.914285714285715 -0.9027777777777778 -1.11139896373057 -0.6496350364963503 -0.6767561393489434 -16.095354523227385
1234
Return
Return on Assets -1.0294774836713647 -0.1723677517802645 -0.17652942157026172 -0.09913611462284029 -0.22149390989580786 -0.20147180661825626
1234
Return on Equity 2.4755114693118414 -0.5373637264618434 -0.4125974025974026 -0.174793350051082 -0.368669597785377 -0.2493215125746336
1234
Return on Capital Employed -14.749668874172185 -0.2806862202545656 -0.2673828455422094 -0.2634485726581552 -0.2910438226651335 -0.2227270010161994
1234
Return on Invested Capital -8.278044589080613 -0.2928230808308537 -0.2782379229328516 -0.1801963859402219 -0.29332740125604484 -0.25430902459271354
1234
Turnover Ratios
Receivables Turnover Ratio -0.18072289156626506 0.24201680672268908 0.6273022751895991 1.051978735971648 1.0435041716328963 0.26819672131147543
1234
Payables Turnover Ratio 0.07877585718333806 0.14926133469179828 0.6001969473165928 1.0901694915254236 1.1015452538631347 0.23132530120481928
1234
Inventory Turnover Ratio 0.15478841870824053 0.1437684003925417 0.55662100456621 0.4565587734241908 0.3282894736842105 0.050686378035902854
1234
Fixed Asset Turnover Ratio -0.0938337801608579 0.0526027397260274 0.1868344627299129 0.3009971269224269 0.27842264270949274 0.2106076210092688
1234
Asset Turnover Ratio -0.009023719491234101 0.018311291963377416 0.06434405734289048 0.0938158449220396 0.08565279068629848 0.019932745260490277
1234
Per Share Items ()
Revenue Per Share -0.00490112196484019 0.013526255306941732 0.054464120091221285 0.08552786830264206 0.08933673469387755 0.02079914167180246
1234
Operating Cash Flow Per Share -0.051811860771167735 -0.04057876592082519 -0.027843487991367013 -0.052152310486619474 -0.031785714285714285 -0.2984600549432974
1234
Free Cash Flow Per Share -0.048591123479987036 -0.012211202707655728 -0.06053136662988065 -0.05556189984624193 -0.06045918367346939 -0.3347695589864929
1234
Cash & Short Term Investments 0.0014469979134290089 0.008735706552399868 0.01796657502145642 0.006386977251123748 0.007091836734693878 0.06697425325614631
1234
Earnings Per Share -2.2365920006407864 -0.5093010852377643 -0.5976943334363041 -0.3615125168906735 -0.9240816326530611 -0.840915908765099
1234
EBITDA Per Share
1234
EBIT Per Share -0.5197989923853368 -0.11910619256390358 -0.14867105665660663 -0.17638622137877838 -0.23244897959183675 -0.1894806891665916
1234
Dividend Per Share 0.0 0.0 0.0 0.0 0.0 0.0
1234
Enterprise Value Per Share 1.373847468495821 1.3057625586114248 0.9497362667451301 0.7818657285376195 1.2617857142857143 1.5118234276954963
1234
Price Per Share 1.0499999999999998 1.09 0.7379 0.600101 1.06 1.57
1234
Effective Tax Rate 0.46180816428750315 -0.021763187015861305 -0.006973058637083994 0.32253419726421884 0.0011030222810500773 -0.051908396946564885
1234
Short Term Coverage Ratio -0.30927835051546393 -1.0936708860759494 -0.774869109947644 -1.46164199192463 -0.8628808864265928 -234.76
1234
Capital Expenditure Coverage Ratio -16.08695652173913 -1.4304635761589404 0.8517985611510791 15.295774647887324 1.1085409252669038 8.219887955182072
1234
EBIT Per Revenue 106.05714285714286 -8.805555555555555 -2.7297063903281518 -2.0623245367770915 -2.6019417475728157 -9.11002444987775
1234
Days of Sales Outstanding -497.99999999999994 371.875 143.4715025906736 85.55306007860752 86.24785836664763 335.5745721271394
1234
Days of Inventory Outstanding 581.4388489208634 626.0068259385665 161.6899097621001 197.12686567164178 274.1482965931864 1775.625
1234
Days of Payables Outstanding 1142.4820143884892 602.9692832764505 149.95077932731746 82.55597014925372 81.70340681362725 389.0625
1234
Cash Conversion Cycle -1059.0431654676258 394.91254266211604 155.21063302545625 200.1239556009956 278.6927481462068 1722.1370721271396
1234
Cash Conversion Ratio 0.09266215877786126 0.31870158613057914 0.18633931381806734 0.5770456960680127 0.13758833922261485 1.4196903725205612
1234
Free Cash Flow to Earnings 0.08690207863761583 0.09590556990040576 0.40509915014164305 0.6147715196599363 0.2617049469964664 1.592404450895017
1234

Disclaimer: The data contained in this website is not necessarily real-time nor accurate. All derived (stocks, indexes, futures) and Forex prices are not provided by exchanges but rather by our third party API www.financialmodellingprep.com, and so prices may not be accurate and may differ from the actual market price, meaning prices are indicative and not appropriate for trading purposes. Therefore, Discounting Cash Flows Inc. doesn't bear any responsibility for any trading losses you might incur as a result of using this data. Discounting Cash Flows Inc. or anyone involved with Discounting Cash Flows Inc. will not accept any liability for loss or damage as a result of reliance on the information including data, quotes, charts and buy/sell signals contained within this website. Please be fully informed regarding the risks and costs associated with trading the financial markets, it is one of the riskiest investment forms possible.