PRM 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
Price Ratios
Price to Earnings Ratio 10.542436923213701 16.03096662416356 -3.301520634296771 26.2504070270939 -15.142520160810713
Price to Sales Ratio 2.2087836942888717 4.080302452115782 6.027581788275036 1.8745266022139309 2.659922777986712
Price to Book Ratio 0.6174346831323576 1.2915703182895777 1.9980714138683426 2.1842761356383527 2.425991173309552
Price to Free Cash Flows Ratio -76.98191930318112 -30.152084359946706 34.88852923322683 10.051415938985299 -69.4616019205587
Price to Operating Cash Flow Ratio 3686.3569854922275 -36.616783717514686 30.18689606081548 8.98746392567701 -2087.0364590163936
Price Earnings to Growth Ratio -0.46224531124860085 -0.14119324160612676 0.003252033172968982 -0.16590257241123343 0
EV to EBITDA
Liquidity Ratios
Current Ratio 4.559662858077056 4.160557758178925 3.7312361921063633 4.040366916745133 2.5730306574221036
Quick Ratio 1.709360411255018 2.0714998516600587 2.494765439961786 1.9084226832305684 1.0721744215186702
Cash Ratio 0.8587673248442353 1.7092806861396552 2.2446310928885618 0.6827445858518361 0.20512070837858157
Debt Ratio 0.29787010747932774 0.27855594850802895 0.28345453949056754 0.6038195194894421 0.6371695708349339
Debt to Equity Ratio 0.5985403043491467 0.6008473088067433 0.6719819955812326 2.358336021302441 2.7816461244121258
Long Term Debt to Capitalization 0.37349530567994244 0.3741152212716194 0.37794823903805674 0.7001738736792288 0.7340613252439337
Total Debt to Capitalization 0.37442928571816353 0.37533080481898634 0.4019074352218912 0.7022334889490371 0.7355648923508266
Interest Coverage Ratio 2.2826139494417323 3.0542444522719268 -13.20746495301393 1.7011209748435157 -0.10399767689478269
Cash Flow to Debt Ratio 0.00027983383959576336 -0.058704817296381 0.09849970048467026 0.10305396270175811 -0.0004178854993731718
Margins
Gross Profit Margin 0.43108212152445763 0.39570047572155725 0.3120401393174329 0.4771966299248771 0.35052024570640594
Operating Profit Margin 0.29322463273187876 0.36078556469397094 -1.6562822557943135 0.210485398009877 -0.02244787096235009
Pretax Profit Margin 0.19118742781924075 0.26969667549687243 -1.80368606108109 0.10228018976550238 -0.249513183736576
Net Profit Margin 0.20951357929638506 0.2545262895105477 -1.8256986570550149 0.07140942996728282 -0.17565918682879947
Operating Cash Flow Margin 0.0005991779154817639 -0.1114325737507108 0.19967544116267133 0.2085712518810167 -0.0012744975136851782
Free Cash Flow Margin -0.028692239869857313 -0.13532405930569616 0.17276686408822703 0.18649378491476162 -0.038293426935773686
Return
Return on Assets 0.02914630680713926 0.037351380924002774 -0.25528351435468094 0.021304579311653603 -0.03669815273946293
Return on Equity 0.05856659969886183 0.0805672139784002 -0.6051973121452063 0.08320922922771788 -0.16021052952520332
Return on Capital Employed 0.041785175973324734 0.05459268605333474 -0.24093745495977445 0.06466760096735406 -0.004894332705294115
Return on Invested Capital 0.04676864109138287 0.05441690642809526 -0.26816089533553983 0.046086532000865384 -0.003476759901232057
Turnover Ratios
Receivables Turnover Ratio 7.797903503038226 13.42163067758749 14.415675353093297 8.415161202388918 5.76400597331278
Payables Turnover Ratio 8.4686445769213 5.920883839756482 9.074738796461466 17.988853987232748 7.980027725008985
Inventory Turnover Ratio 1.258156427649466 1.5238631514888676 2.2643363884927377 3.0200734893848664 2.221845784372588
Fixed Asset Turnover Ratio 3.937509932155736 4.656002996332076 5.820971291789163 7.0400539027677 5.1701341629399185
Asset Turnover Ratio 0.13911416579785457 0.1467486167964387 0.13982784802310796 0.2983440607412015 0.20891678597618465
Per Share Items ()
Revenue Per Share 2.0825941498454386 2.2400300240636786 2.304406723608311 6.401616272517693 4.511409165450573
Operating Cash Flow Per Share 0.001247844421498906 -0.24961231086028232 0.4601334291547155 1.3351931200209028 -0.0057497797645832795
Free Cash Flow Per Share -0.059754290898926886 -0.30312995582293323 0.39812512322163357 1.1938616482337525 -0.17275731725456123
Cash & Short Term Investments 0.3413468716737551 0.7875724485099269 1.434484249890293 0.42374934278132115 0.18516176015651467
Earnings Per Share 0.43633175455582995 0.5701465304171509 -4.20715226060024 0.4571357688897703 -0.7924704654550404
EBITDA Per Share
EBIT Per Share 0.610667904717988 0.8081704971632636 -3.8167479664455564 1.3474467490273918 -0.10127153080439796
Dividend Per Share 0.0 0.0 0.0 0.0 0.23300746849262077
Enterprise Value Per Share 8.71788659094639 12.604417802989762 17.126935326926866 24.532502750939713 25.574061216491273
Price Per Share 4.6 9.14 13.889999999999999 12.0 12.0
Effective Tax Rate -0.09585437539580728 0.05624980715233423 -0.012204228024432938 0.3018254059656801 0.29599236321615785
Short Term Coverage Ratio 0.07028404952658412 -11.344817848065519 1.0278156608705535 10.534880261787892 -0.054367201426024955
Capital Expenditure Coverage Ratio -0.020455749867514573 4.664112388250319 -7.420512820512821 -9.447245564892624 0.034428265041201035
EBIT Per Revenue 0.29322463273187876 0.36078556469397094 -1.6562822557943135 0.210485398009877 -0.02244787096235009
Days of Sales Outstanding 46.807452779812984 27.194907144145017 25.319660096374104 43.37409482974407 63.32401487610213
Days of Inventory Outstanding 290.10701052643066 239.52282043396235 161.195130659435 120.85798616587432 164.27782817657163
Days of Payables Outstanding 43.100167527953154 61.64620179662433 40.221543361923025 20.290342022846588 45.73918945871695
Cash Conversion Cycle 293.8142957782905 205.07152578148305 146.29324739388608 143.94173897277182 181.8626535939568
Cash Conversion Ratio 0.0028598524138339805 -0.43780378822554983 -0.10936933123715081 2.920780238360345 0.007255513000451983
Free Cash Flow to Earnings -0.1369469223246303 -0.5316702630833279 -0.09463054782924175 2.611612850014434 0.21799842995456387

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