Life360, Inc. Common Stock
Financial ratios & Valuation

Historical Multiples (2019 – 2023)

2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
N/AN/AN/A-0.00-0.00N/AN/A
Price/Sales ratio
N/AN/AN/A0.000.00N/AN/A
Price/Book Value ratio
N/AN/AN/A0.000.00N/AN/A
Price/Cash Flow ratio
N/AN/AN/A-0.000.00N/AN/A
Price/Free Cash Flow ratio
N/AN/AN/A-0.000.00N/AN/A
Price/Earnings Growth ratio
N/AN/AN/AN/AN/AN/AN/A
Dividend Yield
N/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
N/A80.91%79.78%65.08%73.11%N/A79.78%
Operating Profit Margin
N/A-19.83%-26.75%-41.35%-9.84%N/A-26.75%
Pretax Profit Margin
N/A-20.25%-29.90%-39.99%-9.04%N/A-29.90%
Net Profit Margin
N/A-20.25%-29.79%-40.13%-9.25%N/A-29.79%
Effective Tax Rate
N/AN/A0.37%-0.34%-2.23%N/A0.37%
Return on Assets
N/A-18.92%-11.09%-26.97%-8.75%N/A-11.09%
Return On Equity
N/A-25.32%-13.42%-37.47%-11.40%N/A-13.42%
Return on Capital Employed
N/A-23.94%-11.55%-37.46%-11.95%N/A-11.55%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/AN/AN/AN/A
Quick Ratio
4.933.526.141.501.79N/A6.14
Cash ratio
4.262.895.570.860.97N/A5.57
Days of Sales Outstanding
N/A40.9138.1452.9551.34N/A38.14
Days of Inventory outstanding
N/A237.0132.2049.5718.27N/A32.20
Operating Cycle
N/A277.9370.35102.5369.61N/A70.35
Days of Payables Outstanding
N/A57.3752.0663.1526.28N/A52.06
Cash Conversion Cycle
N/A220.5618.2839.3843.33N/A18.28
Debt Ratios
Debt Ratio
N/AN/A0.040.020.01N/A0.04
Debt Equity Ratio
N/AN/A0.050.030.01N/A0.05
Long-term Debt to Capitalization
N/AN/A0.030.010.00N/A0.03
Total Debt to Capitalization
N/AN/A0.040.030.01N/A0.04
Interest Coverage Ratio
N/AN/AN/AN/AN/AN/AN/A
Cash Flow to Debt Ratio
N/AN/A-0.97-7.531.67N/A-0.97
Company Equity Multiplier
1.221.331.201.381.30N/A1.20
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
N/A-0.08-0.10-0.240.02N/A-0.10
Free Cash Flow / Operating Cash Flow Ratio
1.011.091.001.010.70N/A1.00
Cash Flow Coverage Ratio
N/AN/A-0.97-7.531.67N/A-0.97
Short Term Coverage Ratio
N/AN/A-2.87-16.242.18N/A-2.87
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/A