SMRT 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
2020 (Q4)
12-31
2020 (Q3)
09-30
Price Ratios
Price to Earnings Ratio -17.525846658866353 -49.10666666666667 -17.03140748413829 -18.468952797371728 -9.567758229284903 -5.638596357940998
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Price to Sales Ratio 10.680252134128226 10.758103330954475 9.055043370508054 14.316706677652522 7.771350205135296 11.896519198046905
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Price to Book Ratio 1.618902118665694 1.8928654861468017 1.5327929334716184 2.2019866361371525 1.4261913557443664 1.324590197693575
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Price to Free Cash Flows Ratio -125.60802469135803 94.12051691592856 39.46105452636316 -116.67034488020754 -44.13576228292172 689.1653571428573
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Price to Operating Cash Flow Ratio -161.5928228948157 88.22757588131209 36.74635004888951 -179.80733066792098 -44.240001749475155 477.16691394658756
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Price Earnings to Growth Ratio -0.13144384994149763 0.8510340874811462 0.6535014130950841 0.8311028758817274 0.24250078461321184 0.3665087632661649
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EV to EBITDA
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Liquidity Ratios
Current Ratio 2.8782970371062717 2.901226674850182 2.7838622776290136 2.8713310608511025 2.8976210739614996 2.849581249623426
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Quick Ratio 2.45855687447425 2.362282518817823 2.221048288582731 2.131505395071865 2.1317284701114487 2.0549722841477376
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Cash Ratio 1.915580895410786 1.8345906963660077 1.706967826487934 1.6336161495525532 1.652952380952381 1.5846915105139483
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Debt Ratio 0.0000000020599316514678043 0.04016235218418224 0.03218211122252457 0.027327937163578345 0 0
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Debt to Equity Ratio 0.0000000030022186395746457 0.05978425921599776 0.04834057776793726 0.04104491582782506 0 0
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Long Term Debt to Capitalization 0 0.0038166162438910867 0 0 0 0
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Total Debt to Capitalization 0.0000000030022186305613288 0.05641172596791037 0.0461115202378802 0.03942665220663096 0 0
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Interest Coverage Ratio 0 -2.3175675675675675 0 0 -7.586309523809524 -18.953191489361704
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Cash Flow to Debt Ratio -3337000 0.3588628925902408 0.8628939914421744 -0.29836502701564804 0 0
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Margins
Gross Profit Margin 0.3846976569153677 0.2821436277031849 0.23287553352609114 0.1850679749822104 0.1400605418030394 0.09669305319227639
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Operating Profit Margin -0.199627641664521 -0.09677526430219242 -0.17119303318188075 -0.2263398374592712 -0.2350066841838381 -0.5491849769426155
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Pretax Profit Margin -0.1514587335855335 -0.05619637196488142 -0.13348478590114277 -0.1934571738886184 -0.20316845679866008 -0.518902123252201
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Net Profit Margin -0.15235001683535027 -0.05476905714238295 -0.13291683877185737 -0.193794239916108 -0.20306089521965612 -0.5274592488471308
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Operating Cash Flow Margin -0.0660936045475252 0.1219358372197235 0.24642021203359493 -0.07962248604921164 -0.1756634244533567 0.02493156765554487
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Free Cash Flow Margin -0.08502842203252194 0.11430136258775496 0.22946785075037862 -0.12271075989663309 -0.17607830482951492 0.017262213015708613
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Return
Return on Assets -0.01584499426309035 -0.006473685449509177 -0.014978752785605813 -0.01984540184589659 -0.02463922138941716 -0.038137096702297424
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Return on Equity -0.023093065775608174 -0.00963649955613699 -0.022499504737044505 -0.029806598407281 -0.03726555692479492 -0.05872872048325096
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Return on Capital Employed -0.02663140122019854 -0.014858057266331505 -0.025375906282367227 -0.030149061630099675 -0.03703461552431804 -0.05202432318154316
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Return on Invested Capital -0.05842902051525116 -0.032064571367636026 -0.054726209750112935 -0.05937127719979209 -0.07312709556616803 -0.10400280592034358
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Turnover Ratios
Receivables Turnover Ratio 0.8691064327888042 0.9733453952150946 0.9143612501180247 0.8895589019189766 1.101745416377457 0.6494186605169597
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Payables Turnover Ratio 4.0334977927810955 2.8689970814539665 4.940478829527821 6.903394670050761 4.778346994535519 1.9950980392156863
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Inventory Turnover Ratio 1.0054047056539046 1.0403607937462418 0.9379642684286947 0.7192509833735498 0.8371202489043125 0.48372400132056786
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Fixed Asset Turnover Ratio 14.47090856979077 15.25392405063291 12.883370288248337 10.749194847020934 34.07277486910995 6.7170780188835515
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Asset Turnover Ratio 0.10400388915095797 0.11819968769372013 0.1126926650077483 0.1024044979586984 0.12133907595927956 0.07230339933493211
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Per Share Items ()
Revenue Per Share 0.24812148315600657 0.2965206692913386 0.28823716167949837 0.26751962488540665 0.32812830881240734 0.20426142803173408
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Operating Cash Flow Per Share -0.016399243187458536 0.03615649606299213 0.07102746249702357 -0.021300577600328625 -0.05764014238607601 0.005092557612391387
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Free Cash Flow Per Share -0.02109737818512421 0.03389271653543307 0.06614116199698389 -0.03282753645695049 -0.05777627638226426 0.0035260042815766276
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Cash & Short Term Investments 1.0071897191439172 1.0591240157480315 1.0467100563536789 0.9867297201168226 1.0282301572095556 1.0598614784032239
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Earnings Per Share -0.15120524854411874 -0.06496062992125984 -0.15324628938804666 -0.20737504946923888 -0.26652011253743685 -0.43095831759224285
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EBITDA Per Share
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EBIT Per Share -0.04953190652873676 -0.028695866141732283 -0.04934419398364949 -0.06055034841372814 -0.07711234584085432 -0.1121773076438736
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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 1.6428102857704499 2.231628937007874 1.6456030240495274 2.9146612797379 0 0
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Price Per Share 2.65 3.19 2.61 3.8299999999999996 2.55 2.4300000000000006
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Effective Tax Rate -0.005884660651235779 0.025398700531600708 0.004254770500257865 -0.0017423289129803504 0.0005294206625321434 -0.016490827868073377
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Short Term Coverage Ratio -3337000 0.38343510255205887 0.8628939914421744 -0.29836502701564804 0 0
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Capital Expenditure Coverage Ratio 3.4905857740585775 -15.971739130434782 -14.536040609137055 1.8478922207735766 423.4074074074074 -3.2508038585209005
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EBIT Per Revenue -0.199627641664521 -0.09677526430219242 -0.17119303318188075 -0.2263398374592712 -0.2350066841838381 -0.5491849769426155
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Days of Sales Outstanding 103.55463566321377 92.46460757140724 98.42936802973978 101.17373881128049 81.6885631309639 138.5854849448842
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Days of Inventory Outstanding 89.516191334578 86.50845028090538 95.9524824445292 125.13017302787289 107.51143592309342 186.05651105651106
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Days of Payables Outstanding 22.313139766947792 31.369847178230412 18.216857738989972 13.03706427077828 18.834965334858122 45.11056511056511
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Cash Conversion Cycle 170.75768723084397 147.60321067408222 176.164992735279 213.2668475683751 170.3650337191992 279.5314308908301
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Cash Conversion Ratio 0.4338273530941238 -2.2263636363636365 -1.8539427683542664 0.41086095274905793 0.8650775633749527 -0.04726728692318481
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Free Cash Flow to Earnings 0.5581123244929798 -2.086969696969697 -1.7264016573870256 0.6332012754855542 0.867120696178585 -0.03272710271634952
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