PIK Financial Ratios


* All Per Share Items In USD
Period Ending: LTM
(Last Twelve Months)
2024 (Q1)
03-30
2023 (Q4)
12-30
2023 (Q3)
09-30
2023 (Q2)
07-01
2023 (Q1)
04-01
2022 (Q4)
12-31
2022 (Q3)
10-01
2022 (Q2)
07-02
2022 (Q1)
04-02
2022 (Q4)
01-01
2021 (Q3)
10-02
2021 (Q2)
06-30
2021 (Q1)
03-31
2020 (Q4)
12-31
2020 (Q3)
09-30
2020 (Q2)
06-30
Price Ratios
Price to Earnings Ratio -0.0012208764074598836 -0.21532473486873058 -0.000660208386661966 -0.760080031785534 -0.632347831302494 -0.7365897174187088
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Price to Sales Ratio 0.0038587546493219996 1.02138441762344 1.50069087741795 1.7888195141724117 1.2401912853228134 1.1312234487922472
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Price to Book Ratio -0.02167150773845502 3.3228816956234075 1.042965467065005 1.1578410684841323 0.7071632828704923 0.6133151423457163
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Price to Free Cash Flows Ratio 0 24.81687210072896 -52.97651223348297 -57.91429117227396 -14.876262926954151 13.973322310262132
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Price to Operating Cash Flow Ratio 0 24.816872100728958 -53.63460555315357 -58.39834928297601 -19.16974889523108 13.758371820542864
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Price Earnings to Growth Ratio -0.00000002798315780866859 0.002157092946669505 -0.000000007212864857991405 -0.3243008135618278 -0.0746170440936943 -0.0027407989485347312
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.8616397259351246 1.137274487842872 1.887590310904988 1.8163655518664836 2.120391591917355 2.3055768366812512
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Quick Ratio 0.01971961373916858 0.07752395500624913 0.03960697505056475 0.05206993800681514 0.07772076280661831 0.14786883574770443
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Cash Ratio 0.001788295764844461 0.03757271785923453 0.010855047196365888 0.026179406767203074 0.04497346136043408 0.09477407965728296
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Debt Ratio 0.4308591707328258 0.2685773837173848 0.1820550413502582 0.2688006075097339 0.2458958596065337 0.21986313644753464
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Debt to Equity Ratio -7.304910928138081 1.8435631933366383 0.4054268647914086 0.6201935798917734 0.4852836918071444 0.40577437948541184
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Long Term Debt to Capitalization 1.4109720210885441 0.42939488563506906 0.14891501560598772 0.1479203512935239 0.12338824521795222 0.10818926447803703
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Total Debt to Capitalization 1.1586065229783211 0.648328546964135 0.2884724029034278 0.3827898021501859 0.32672794731671756 0.2886482962037954
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Interest Coverage Ratio -34.12403846153846 57.310800157666534 -0.08608011936519419 -82.11386442760598 -76.43199682413656 -65.0551505780134
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Cash Flow to Debt Ratio 0 0.07262895710053367 -0.04796365992430331 -0.031968415586679205 -0.07601644970217501 0.10985808463547754
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Margins
Gross Profit Margin 0.6992187308115688 -0.3962184834089502 0.6112089550785543 0.6020309552065445 0.598154897482999 0.5888457312749217
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Operating Profit Margin -0.4754466229477449 -1.2069244597918145 -0.5617383304471903 -0.581286484257821 -0.4778092844780391 -0.3724880118519718
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Pretax Profit Margin -0.7901607864940238 -1.185865175041445 -568.2640919655267 -0.5883655139479935 -0.48406071456402044 -0.37821373853990387
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Net Profit Margin -0.7901607864940238 -1.185865175041445 -568.2640919655267 -0.5883655139479935 -0.49031214465000184 -0.38393946522783595
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Operating Cash Flow Margin 0 0.041156855444060496 -0.027979899580518372 -0.030631336949345576 -0.06469522851346998 0.08222073538550528
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Free Cash Flow Margin 0 0.041156855444060496 -0.02832747597282295 -0.03088735919863586 -0.08336712596519946 0.0809559404467087
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Return
Return on Assets -0.2617446725734146 -0.5620466673242458 -177.34505669845453 -0.16505649365501762 -0.14166390131821793 -0.11278876486793137
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Return on Equity 4.437694840779187 -3.8579888391005697 -394.93798024070503 -0.3808286693718957 -0.2795784407981187 -0.2081603665657343
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Return on Capital Employed -1.0973773313612212 -2.2404816964379073 -0.33226582466702453 -0.320592120202256 -0.23883221276701316 -0.18010272521580642
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Return on Invested Capital -1.1092149637283675 -2.5162332135667476 -0.671053450155221 -0.32891009903446006 -0.25012876323276356 -0.1947509766057007
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Turnover Ratios
Receivables Turnover Ratio 21.56910999807359 15.930669361808642 22.977667645204374 22.05247576664365 20.90867485133719 14.098969292770784
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Payables Turnover Ratio 0.37021233559258127 1.2624105490772854 0.3619448184705345 0.4234571211111992 0.5300809218126826 0.5981057044746882
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Inventory Turnover Ratio 0.16109181794264668 0.9701327039424749 0.15051283155459813 0.14069336864942103 0.14573266297864787 0.15447988539157614
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Fixed Asset Turnover Ratio 1.327607631844489 3.0959567961289802 2.8808216826014226 2.608726466828534 2.7450798458468646 3.0851873867569535
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Asset Turnover Ratio 0.3312549509509154 0.4739549479599169 0.3120821097195299 0.280533936374808 0.28892594822292544 0.29376705205598147
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Per Share Items ()
Revenue Per Share 0.0 1.8014764747256644 2.112360411928551 2.230521284225789 2.6205634876349317 3.0851552836233234
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Operating Cash Flow Per Share 0 0.07414310685615988 -0.05910363220362329 -0.06832384902980716 -0.16953795366659774 0.25366373619798677
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Free Cash Flow Per Share 0 0.07414310685615988 -0.05983783881484842 -0.0688949121060845 -0.21846884637346373 0.24976164740985848
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Cash & Short Term Investments 5.476006376157318 0.10634986672420321 0.03470777891281328 0.10227461601990379 0.17212698957752084 0.39059583595098457
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Earnings Per Share -0.0 -8.545232860134384 -4801.514285554016 -5.24944720706178 -5.139576415255087 -4.7380514789566845
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EBITDA Per Share
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EBIT Per Share -0.0 -2.174246021085935 -1.1865938110994836 -1.296571875369849 -1.2521295649561215 -1.1491833578514579
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Dividend Per Share 0 0.0 0.0 0.0 0.0 0.0
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Enterprise Value Per Share 0 2.754497875224374 4.36755081638415 6.02495513953535 5.308152829209476 5.4084170786622074
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Price Per Share 0 1.8400000000000003 3.1699999999999995 3.99 3.2500000000000004 3.4899999999999998
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Effective Tax Rate 0 0.0000007499823754141778 -1 -0.000000985597949956264 -0.012914557818665047 -0.01513886489167814
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Short Term Coverage Ratio 0 0.12272359610157131 -0.08437944903189067 -0.04439510954113497 -0.1070727540897555 0.1567094168360482
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Capital Expenditure Coverage Ratio 0 0 80.5 119.64326160815402 3.4648448922087245 -65.00716666666666
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EBIT Per Revenue -0.4754466229477449 -1.2069244597918145 -0.5617383304471903 -0.581286484257821 -0.4778092844780391 -0.3724880118519718
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Days of Sales Outstanding 4.172633919899254 5.649480128924232 3.9168466264583532 4.081174420158896 4.304433477487654 6.383445352005079
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Days of Inventory Outstanding 558.6875928859564 92.7708133477548 597.9556631180162 639.6889978820644 617.5691719377036 582.6001215101091
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Days of Payables Outstanding 243.10373087904077 71.29217992180304 248.65668855355307 212.53627702334973 169.785397467679 150.4750737648395
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Cash Conversion Cycle 319.75649592681486 27.128113554875995 353.2158211909215 431.23389527887355 452.0882079475123 438.5084930972747
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Cash Conversion Ratio -0.0 -0.03470618440466649 0.00004923749358109319 0.052061747711564764 0.13194702439942865 -0.21415025761082976
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Free Cash Flow to Earnings -0.0 -0.03470618440466649 0.000049849139464088136 0.05249688920647045 0.1700286784140523 -0.21085600147582673
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