VCSA 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 -0.2573506413174142 -0.5985981662002844 -0.12544609364044315 -13.112575616789492 -1.3065979202971658 -0.2465904536874524
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Price to Sales Ratio 0.42106964176596395 0.5883156638863841 0.3020578404915097 0.537454630818277 0.8874044943820224 1.365302566030125
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Price to Book Ratio 5.066186099942562 0.7965535424599207 0.6146930646295571 0.4071811126643551 0.5782543134394622 0.7211905016949152
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Price to Free Cash Flows Ratio 0.970664040146146 -1.2552998003848004 -0.4041593014062236 1.1125054810626398 1.4713069023166943 -4.822884115418245
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Price to Operating Cash Flow Ratio 0.9501793659172438 -1.3025720770632128 -0.408020425398477 1.088196463471382 1.436832711364381 -5.056818682195548
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Price Earnings to Growth Ratio -0.002993670725529103 0.007355350042206839 -0.000018009930616518616 0.14109438090580506 0.015264552749699397 0.0001272311546494279
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EV to EBITDA
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Liquidity Ratios
Current Ratio 0.6409375503429201 0.6287382663667775 0.7863599160569047 0.7933526921856029 0.7431170413393849 0.7188353511306639
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Quick Ratio 0.5850584928166875 0.5678002379246162 0.36314532369608316 0.3651758044813561 0.3411306356118518 0.32988583093478396
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Cash Ratio 0.5636651274931624 0.5341171128344484 0.337402625786409 0.34677707223503346 0.31853194712462 0.2974578204019007
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Debt Ratio 0.04440457639001571 0.04395461971100809 0.03474529780564263 0.021694585569492674 0.02085179951461672 0.023990030515079842
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Debt to Equity Ratio 1.6661688684663987 0.22255118158302367 0.14280345936428007 0.08256182435961854 0.07472061901439715 0.07583777239709442
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Long Term Debt to Capitalization 0.507830610052581 0.1159940370592719 0.08726223258822262 0.04519135312810233 0.04868153668673041 0.050205712104242795
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Total Debt to Capitalization 0.6249299840579086 0.18203833502892916 0.12495889664502673 0.07626522800068011 0.06952562153587581 0.07049182910553406
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Interest Coverage Ratio -100.0247619047619 -130.6341463414634 -725.8324420677362 -14.169779286926994 -63.984785615491006 -124.54442649434571
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Cash Flow to Debt Ratio 3.2000482625482625 -2.7477885208804773 -10.54964099094019 4.532116172571704 5.386072726038095 -1.8805593691133744
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Margins
Gross Profit Margin 0.14621047204399634 0.001600541027953111 0.6022206570169122 0.5333690109955053 0.5167254549277022 0.46645550472593256
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Operating Profit Margin -0.2506922166208371 -0.4225879170423805 -1.0741669898200101 -0.0274017578362264 -0.18010620819609582 -0.3533814941464443
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Pretax Profit Margin -0.6659505805071799 -0.42038435527502255 -1.064641220649103 -0.017148260385647072 -0.16837970208756725 -1.3844140485336316
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Net Profit Margin -0.40904273602199814 -0.24570559062218214 -0.6019674103150547 -0.010246931009688784 -0.16979295630981026 -1.3841802730131372
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Operating Cash Flow Margin 0.44314753284448516 -0.45165689810640214 -0.7403007832181853 0.4938948515820198 0.6176115614317862 -0.2699923908359996
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Free Cash Flow Margin 0.4337954476015887 -0.4686654643823264 -0.7473732249648489 0.48310290597841615 0.6031403053874964 -0.28308840381741673
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Return
Return on Assets -0.1311609665894138 -0.0657043650195615 -0.2980564263322884 -0.0020399132791753026 -0.030875927084896764 -0.23129113101876247
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Return on Equity -4.921481906950029 -0.33267456677832635 -1.2250143603343409 -0.007763179495853502 -0.11064121265935181 -0.7311622276029056
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Return on Capital Employed -0.5209364614850454 -0.31149236680859904 -1.2837033931166673 -0.011586098902471868 -0.06355065465650281 -0.09946777970595636
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Return on Invested Capital 0.2518865122666538 -5.166651055050502 -2.4474652044577128 -0.02050905302551143 -0.09148944862692028 -0.12487745042677803
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Turnover Ratios
Receivables Turnover Ratio 17.723326846602927 12.458924308383654 32.84042276704496 20.44703276047261 16.603361344537817 12.680655661474075
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Payables Turnover Ratio 4.457418438302221 5.836523572628735 3.8775200576013167 2.8929145718414784 3.035061981955549 3.289630613571489
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Inventory Turnover Ratio 0 0 0.9289212515478017 0.4431204187828733 0.5041815087549705 0.7191658943466173
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Fixed Asset Turnover Ratio 3.837748708365395 2.3103264195409032 6.379404934199455 4.9047327654229536 3.998287697887642 3.328471385197504
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Asset Turnover Ratio 0.3206534551009849 0.2674109484166933 0.4951371473354232 0.19907553561612767 0.18184456973915605 0.16709610411892303
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Per Share Items ()
Revenue Per Share 15.555621565424032 13.938095657408143 30.523955229889683 25.26724903146595 21.681206396637076 18.457447182036546
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Operating Cash Flow Per Share 6.893435318580128 -6.295237050135277 -22.596907963604156 12.479364210281808 13.390563736351858 -4.983370293407232
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Free Cash Flow Per Share 6.747957819694045 -6.532304073884475 -22.812786858845318 12.20668143318152 13.076809447237029 -5.225089261307003
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Cash & Short Term Investments 23.12512995692856 17.739730100214626 12.18222079072389 23.291107737487867 18.40590536724952 13.351652196101853
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Earnings Per Share -25.451656022575378 -13.69867210260776 -73.49770512923746 -1.0356470305202292 -14.72526452179271 -102.19373711822763
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EBITDA Per Share
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EBIT Per Share -3.899673251151047 -5.890070811401556 -32.78782510669136 -0.692367039147856 -3.904919873215242 -6.522520263317153
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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 -14.42096390910441 -7.24871061225269 -0.8202608905708981 -6.957567507030685 3.320240739099418 14.498288228675445
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Price Per Share 6.550000000000001 8.2 9.22 13.580000000000002 19.239999999999995 25.199999999999996
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Effective Tax Rate -0.010165020287029205 -0.025833523252852143 0.0027825888731134517 -0.08022209458165805 -0.008393257647575666 0.00016886243009592048
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Short Term Coverage Ratio 8.405197392249185 -6.695238095238095 -31.918903548680618 10.62058740468794 17.090713208360267 -6.20663856691254
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Capital Expenditure Coverage Ratio -47.38489025012762 26.554671968190856 104.67400223797091 -45.76513538180712 -42.67850417002959 20.616380819040952
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EBIT Per Revenue -0.2506922166208371 -0.4225879170423805 -1.0741669898200101 -0.0274017578362264 -0.18010620819609582 -0.3533814941464443
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Days of Sales Outstanding 5.078053391384052 7.223737601442742 2.740525012068788 4.401616657747251 5.420589128454297 7.097424802207573
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Days of Inventory Outstanding 0 0 96.88657660704693 203.10506170581033 178.50714164874208 125.14497796334958
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Days of Payables Outstanding 20.191059297156755 15.420138183296078 23.210711656685834 31.11049350576249 29.653430649877954 27.35869481172195
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Cash Conversion Cycle -15.113005905772702 -8.196400581853336 76.41638996242989 176.39618485779508 154.27430012731844 104.88370795383521
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Cash Conversion Ratio -1.0833770993079141 1.8382035873205191 1.229802096480157 -48.19929509772509 -3.637439236907273 0.19505580024505745
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Free Cash Flow to Earnings -1.060513754186945 1.9074269461901923 1.2415509746178657 -47.14610701698174 -3.552210400807117 0.20451700500049674
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