Genmark Diagnostics
Financial ratios & Valuation

Historical Multiples (2011 – 2020)

2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 TTM Median
Valuation Ratios
Price/Earnings ratio
-3.10-12.61-13.92-14.70-7.75-10.66-3.44-5.35-5.85-52.89N/A-7.75
Price/Sales ratio
14.8513.6217.0918.398.3010.954.063.823.145.74N/A10.95
Price/Book Value ratio
2.424.944.297.216.7314.143.038.0622.7710.46N/A14.14
Price/Cash Flow ratio
-3.87-17.17-19.68-19.02-10.25-15.14-3.99-8.32-7.93160.75N/A-10.25
Price/Free Cash Flow ratio
-3.48-13.25-16.18-15.78-9.03-12.22-3.63-7.71-7.48-84.70N/A-9.03
Price/Earnings Growth ratio
-0.13-0.291.066.98-1.02-0.71-0.660.210.590.80N/A-1.02
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
-23.89%43.13%42.00%57.09%61.13%60.01%38.09%27.53%32.49%39.60%39.60%60.01%
Operating Profit Margin
-476.40%-106.94%-127.28%-127.65%-105.38%-99.40%-113.32%-67.51%-47.50%-6.44%-6.44%-105.38%
Pretax Profit Margin
-477.50%-107.25%-122.60%-126.93%-106.96%-102.49%-117.57%-71.17%-53.72%-10.82%-10.82%-106.96%
Net Profit Margin
-478.53%-107.98%-122.76%-125.06%-107.06%-102.69%-117.76%-71.36%-53.79%-10.86%-10.86%-107.06%
Effective Tax Rate
-0.21%-0.67%-0.13%1.47%-0.09%-0.19%-0.16%-0.27%-0.13%-0.43%-0.43%-0.19%
Return on Assets
-62.77%-32.49%-27.63%-41.60%-59.71%-62.99%-50.87%-54.31%-42.47%-8.34%-8.34%-59.71%
Return On Equity
-78.24%-39.15%-30.81%-49.04%-86.83%-132.63%-87.83%-150.53%-389.29%-19.79%-25.59%-86.83%
Return on Capital Employed
-75.02%-37.20%-31.27%-49.01%-69.13%-90.86%-63.43%-65.71%-47.97%-6.15%-6.15%-69.13%
Liquidity Ratios
Current Ratio
5.316.3210.856.355.282.213.433.373.423.913.913.91
Quick Ratio
4.925.9310.596.174.991.963.042.862.963.433.373.37
Cash ratio
3.965.583.482.993.340.600.961.781.820.910.910.60
Days of Sales Outstanding
80.0056.8838.0758.3263.4167.0274.1959.4969.4944.2344.2367.02
Days of Inventory outstanding
127.5062.4948.2759.4172.77122.89122.9172.9169.4275.1175.1172.77
Operating Cycle
207.51119.3786.35117.74136.18189.91197.10132.41138.91119.3586.02189.91
Days of Payables Outstanding
70.6376.6688.7196.42104.27161.24125.4070.3675.2481.2781.27161.24
Cash Conversion Cycle
136.8842.71-2.3621.3131.9028.6771.7062.0463.6738.07-18.5228.67
Debt Ratios
Debt Ratio
0.190.170.10N/A0.130.240.230.380.620.350.570.13
Debt Equity Ratio
0.240.200.11N/A0.200.510.391.075.680.841.370.20
Long-term Debt to Capitalization
0.010.00N/AN/A0.160.230.220.510.850.430.430.16
Total Debt to Capitalization
0.040.010.00N/A0.160.340.280.510.850.450.440.16
Interest Coverage Ratio
-251.18-446.75-1.83K-1.95K-47.19-31.88-19.56-15.37-7.01-1.39-1.39-47.19
Cash Flow to Debt Ratio
-12.13-23.17-643.13N/A-3.22-1.79-1.90-0.90-0.500.070.08-3.22
Company Equity Multiplier
1.241.201.111.171.452.101.722.779.162.372.371.45
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-3.83-0.79-0.86-0.96-0.80-0.72-1.01-0.45-0.390.030.03-0.80
Free Cash Flow / Operating Cash Flow Ratio
1.101.291.211.201.131.231.091.071.05-1.89-1.891.23
Cash Flow Coverage Ratio
-12.13-23.17-643.13N/A-3.22-1.79-1.90-0.90-0.500.070.08-3.22
Short Term Coverage Ratio
-19.21-25.45-643.13N/AN/A-4.49-6.73N/AN/A0.771.78-4.49
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A