ImmuCell
Financial ratios & Valuation

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-88.0018.9049.45-258.93-16.64-27.09-41.99-778.70-18.94-6.78-16.67-16.67
Price/Sales ratio
1.932.242.634.173.512.552.793.152.542.242.032.55
Price/Book Value ratio
1.582.161.271.841.771.211.511.861.551.561.241.21
Price/Cash Flow ratio
48.657.90-77.6236.99-103.52150.3832.6263.65-30.60-8.3837.48-103.52
Price/Free Cash Flow ratio
-11.92126.70-6.43-2.62-16.08-30.32-15.56-36.71-8.56-5.96-50.89-30.32
Price/Earnings Growth ratio
0.36-0.02-0.702.01-0.010.491.598.40-0.00-0.050.00-0.01
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
58.56%61.11%56.79%50.05%47.27%49.11%44.73%44.98%41.19%25.16%41.19%49.11%
Operating Profit Margin
-2.71%20.74%9.32%-2.32%-13.17%-6.95%-8.99%-11.45%-12.38%-32.89%-11.18%-13.17%
Pretax Profit Margin
-3.36%20.17%7.94%-4.19%-16.93%-9.24%-6.72%-0.35%-13.38%-33.02%-12.19%-16.93%
Net Profit Margin
-2.20%11.86%5.32%-1.61%-21.13%-9.44%-6.66%-0.40%-13.43%-33.05%-12.23%-21.13%
Effective Tax Rate
34.56%41.20%32.95%61.64%-24.83%-2.20%0.96%-13.04%-0.32%-0.08%-0.35%-24.83%
Return on Assets
-1.51%8.30%2.05%-0.48%-7.09%-3.34%-2.53%-0.17%-5.55%-13.18%-5.06%-7.09%
Return On Equity
-1.80%11.43%2.57%-0.71%-10.67%-4.47%-3.61%-0.23%-8.20%-23.10%-7.07%-10.67%
Return on Capital Employed
-2.05%15.39%3.93%-0.75%-4.79%-2.63%-3.61%-5.25%-5.50%-14.51%-4.96%-2.63%
Liquidity Ratios
Current Ratio
5.429.626.963.632.505.285.49N/AN/AN/A4.552.50
Quick Ratio
4.488.565.932.641.594.274.555.192.580.872.451.59
Cash ratio
0.841.922.501.840.983.513.594.011.880.231.880.98
Days of Sales Outstanding
48.3026.5843.4952.2647.3644.6244.3551.6035.3945.6534.5644.62
Days of Inventory outstanding
109.6679.84188.27143.59146.93131.6290.07106.53201.85218.06201.85146.93
Operating Cycle
157.96106.43231.77195.86194.30176.25134.43158.13237.25263.72210.38194.30
Days of Payables Outstanding
52.8918.26133.4240.6638.0421.0125.9225.6826.4024.4166.8838.04
Cash Conversion Cycle
105.0688.1698.34155.19156.25155.24108.50132.45210.84239.3017.45155.24
Debt Ratios
Debt Ratio
0.080.210.120.260.290.210.230.200.220.270.320.29
Debt Equity Ratio
0.090.300.150.370.440.290.330.280.330.470.470.44
Long-term Debt to Capitalization
0.070.220.120.260.270.190.230.200.230.290.060.19
Total Debt to Capitalization
0.080.230.130.270.300.220.250.210.250.320.090.22
Interest Coverage Ratio
-3.5626.455.50-1.11-5.01-2.20-3.34N/AN/AN/A-8.14-2.20
Cash Flow to Debt Ratio
0.330.91-0.100.13-0.030.020.130.10-0.15-0.390.30-0.03
Company Equity Multiplier
1.191.371.251.451.501.331.421.361.471.751.471.47
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.030.28-0.030.11-0.030.010.080.04-0.08-0.260.05-0.03
Free Cash Flow / Operating Cash Flow Ratio
-4.070.0612.07-14.106.43-4.95-2.09-1.733.571.40-0.73-0.73
Cash Flow Coverage Ratio
0.330.91-0.100.13-0.030.020.130.10-0.15-0.390.30-0.03
Short Term Coverage Ratio
2.0122.17-2.433.71-0.270.181.731.17-1.48-3.270.94-0.27
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A