Itamar Medical Ltd.
Financial ratios & Valuation

Historical Multiples (2013 – 2020)

2013 2014 2015 2016 2017 2018 2019 2020 TTM Median
Valuation Ratios
Price/Earnings ratio
-4.25-21.35-34.14-7.29-19.92-70.32-28.19-25.14-27.04-19.92
Price/Sales ratio
4.114.264.565.695.105.024.756.7011.015.69
Price/Book Value ratio
-3.75-14.664.5220.0376.7218.188.916.386.8576.72
Price/Cash Flow ratio
-11.53-12.84-8.91-9.87-17.08-31.31N/A-31.18-44.52-17.08
Price/Free Cash Flow ratio
-11.29-12.38-8.36-9.47-16.30-28.99-271.51-24.89-37.43-16.30
Price/Earnings Growth ratio
0.000.260.91-0.010.310.98-0.16-0.350.23-0.01
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
68.07%70.72%73.81%72.99%75.83%76.32%77.65%69.96%68.88%75.83%
Operating Profit Margin
-39.04%-22.02%-32.48%-54.29%-28.24%-12.90%-15.65%-25.20%-34.69%-54.29%
Pretax Profit Margin
-97.19%-19.22%-12.56%-77.39%-25.19%-6.63%-16.73%-26.34%-39.41%-77.39%
Net Profit Margin
-96.86%-19.98%-13.36%-78.10%-25.60%-7.14%-16.85%-26.65%-40.70%-78.10%
Effective Tax Rate
0.33%-3.93%-6.39%-0.91%-1.62%-7.72%-0.70%-1.17%-3.29%-1.62%
Return on Assets
-54.31%-13.33%-5.13%-40.51%-24.91%-9.40%-15.86%-17.05%-18.30%-40.51%
Return On Equity
88.22%68.65%-13.25%-274.81%-384.96%-25.85%-31.61%-25.39%-30.00%-274.81%
Return on Capital Employed
-42.10%-18.17%-13.95%-47.16%-106.13%-37.41%-24.60%-22.41%-19.81%-47.16%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/AN/A4.12N/A
Quick Ratio
1.854.698.662.191.061.391.872.793.782.19
Cash ratio
1.041.997.141.630.480.641.130.530.480.48
Days of Sales Outstanding
63.4179.8989.4998.59102.72102.97106.7385.37109.4698.59
Days of Inventory outstanding
93.43108.93131.03130.78164.91142.46175.75212.19188.14130.78
Operating Cycle
156.84188.83220.53229.37267.63245.43282.49297.56215.13267.63
Days of Payables Outstanding
60.3482.3887.4997.0592.0896.70105.98130.85137.9497.05
Cash Conversion Cycle
96.49106.44133.03132.31175.54148.73176.50166.7017.91175.54
Debt Ratios
Debt Ratio
1.610.590.340.500.500.270.170.090.270.50
Debt Equity Ratio
-2.62-3.050.873.397.760.740.350.130.387.76
Long-term Debt to Capitalization
-6.691.480.460.60N/AN/AN/A0.000.06N/A
Total Debt to Capitalization
3.761.480.460.770.880.420.260.120.120.88
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/AN/A-21.19N/A
Cash Flow to Debt Ratio
-0.23-0.37-0.57-0.59-0.57-0.77N/A-1.47-1.04-0.57
Company Equity Multiplier
-1.62-5.142.586.7815.452.751.991.481.3815.45
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.35-0.33-0.51-0.57-0.29-0.16N/A-0.21-0.24-0.57
Free Cash Flow / Operating Cash Flow Ratio
1.021.031.061.041.041.07N/A1.251.181.04
Cash Flow Coverage Ratio
-0.23-0.37-0.57-0.59-0.57-0.77N/A-1.47-1.04-0.57
Short Term Coverage Ratio
-0.66N/AN/A-1.10-0.57-0.77N/A-1.51-1.95-0.57
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/A