Creative Realities
Financial ratios & Valuation

Forward Multiples (2025 – 2026)

20252026
Price/Earnings ratio
10.265.13
Price/Sales ratio
0.400.36
Earnings per Share (EPS)
$0.23$0.46

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-3.68-1.56-3.43-3.35-0.7714.36-0.7823.652.06-6.817.95-0.77
Price/Sales ratio
1.041.081.481.310.360.470.750.290.080.440.340.47
Price/Book Value ratio
1.241.6310.265.350.480.803.030.620.150.690.580.48
Price/Cash Flow ratio
-3.76-6.28-4.9435.55-5.24-15.37-3.7211.65-5.453.87-21.08-15.37
Price/Free Cash Flow ratio
-3.51-4.74-4.61270.80-4.38-7.98-3.14-7.97-0.7717.55-2.98-4.38
Price/Earnings Growth ratio
0.26-0.030.07-0.59-0.25-0.130.00-0.220.000.040.05-0.25
Dividend Yield
0.80%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
25.08%31.40%50.15%41.75%45.48%43.48%46.52%45.32%40.92%49.11%40.92%43.48%
Operating Profit Margin
-36.41%-63.55%-33.32%-34.46%-19.94%-0.22%-30.96%4.24%-6.27%2.98%-5.72%-19.94%
Pretax Profit Margin
-28.31%-66.33%-45.89%-39.49%-49.02%3.57%-97.39%1.37%4.50%-6.31%4.50%-49.02%
Net Profit Margin
-28.31%-69.45%-43.22%-39.26%-47.25%3.28%-96.48%1.25%4.32%-6.50%4.32%-47.25%
Effective Tax Rate
-0.84%-4.70%5.81%0.55%3.61%8.22%0.92%8.66%4.04%-2.90%4.04%3.61%
Return on Assets
-17.36%-34.58%-24.20%-26.68%-28.14%3.05%-81.69%1.01%2.84%-4.14%2.84%-28.14%
Return On Equity
-33.75%-104.80%-299.08%-159.69%-63.13%5.60%-388.55%2.65%7.33%-10.18%7.69%-63.13%
Return on Capital Employed
-32.05%-46.27%-45.36%-45.62%-19.72%-0.30%-40.68%4.88%-5.49%2.66%-5.00%-19.72%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A0.84N/A
Quick Ratio
0.710.360.400.630.790.720.631.150.710.790.590.72
Cash ratio
0.080.180.090.070.180.240.240.420.090.140.090.24
Days of Sales Outstanding
103.9630.70113.18123.51124.7454.8548.9866.8169.57100.7569.5769.57
Days of Inventory outstanding
26.833.8031.3330.1311.297.7491.9168.0732.3040.7632.3011.29
Operating Cycle
130.8034.50144.51153.64136.0362.60140.90134.89101.88141.5249.4662.60
Days of Payables Outstanding
129.04167.03172.3571.4159.4337.7864.9391.1453.54125.0853.5437.78
Cash Conversion Cycle
1.75-132.52-27.8382.2376.5924.8175.9643.7448.3316.4423.9924.81
Debt Ratios
Debt Ratio
N/A0.100.310.200.140.180.410.310.260.190.610.14
Debt Equity Ratio
N/A0.313.851.250.320.341.980.810.680.481.580.32
Long-term Debt to Capitalization
N/A0.23N/A0.550.240.160.650.440.330.250.340.24
Total Debt to Capitalization
N/A0.240.790.550.240.250.660.450.400.320.400.24
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A-0.90N/A
Cash Flow to Debt Ratio
N/A-0.81-0.530.11-0.28-0.15-0.400.06-0.040.36-0.04-0.28
Company Equity Multiplier
1.943.0312.355.982.241.834.752.622.582.452.582.24
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.27-0.17-0.300.03-0.06-0.03-0.200.02-0.010.11-0.01-0.06
Free Cash Flow / Operating Cash Flow Ratio
1.071.321.070.131.191.921.18-1.467.050.227.051.19
Cash Flow Coverage Ratio
N/A-0.81-0.530.11-0.28-0.15-0.400.06-0.040.36-0.04-0.28
Short Term Coverage Ratio
N/A-13.21-0.53N/AN/A-0.36-9.831.67-0.151.23-0.17-0.36
Dividend Payout Ratio
-2.94%N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A