Neovasc
Financial ratios & Valuation

Historical Multiples (2013 – 2022)

2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 TTM Median
Valuation Ratios
Price/Earnings ratio
-29.76-21.71-11.00-1.34-2.13-0.07-1.00-0.55-1.18-1.04-3.25-0.07
Price/Sales ratio
16.1926.0829.6212.269.074.8816.838.1011.5811.3426.499.07
Price/Book Value ratio
33.8419.785.07-7.54-1.34-0.88-2.438.020.562.722.93-1.34
Price/Cash Flow ratio
-40.62-46.36-13.82-2.93-0.35-0.37-1.46-0.53-1.08-1.73-3.44-0.37
Price/Free Cash Flow ratio
-33.23-40.67-12.55-2.88-0.35-0.37-1.45-0.53-1.08-1.72-3.43-0.37
Price/Earnings Growth ratio
0.12-0.16-0.36-0.000.020.000.010.000.01-0.01-0.020.00
Dividend Yield
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
39.69%36.25%30.12%25.45%35.46%79.06%78.08%77.20%78.18%79.66%76.74%35.46%
Operating Profit Margin
-60.51%-120.82%-289.61%-387.08%-596.56%-1781.94%-1431.13%-1782.17%-1221.22%-886.74%-856.96%-856.96%
Pretax Profit Margin
-57.46%-120.15%-267.50%-907.13%-416.11%-6170.81%-1677.90%-1492.77%-973.63%-1082.24%-1073.97%-1073.97%
Net Profit Margin
-54.40%-120.15%-269.19%-909.24%-425.10%-6176.93%-1679.27%-1466.00%-977.03%-1082.89%-812.86%-812.86%
Effective Tax Rate
5.31%-0.04%-0.63%-0.23%-2.16%-0.09%-0.08%1.79%-0.34%-0.06%-0.30%-2.16%
Return on Assets
-85.86%-80.66%-43.65%-87.53%-103.16%-900.86%-347.63%-160.50%-37.58%-106.39%-56.73%-103.16%
Return On Equity
-113.67%-91.14%-46.09%559.38%62.80%1117.65%243.19%-1451.06%-47.65%-260.14%-63.37%1117.65%
Return on Capital Employed
-122.09%-90.95%-49.58%238.14%824.86%-838.42%648.65%-341.47%-50.79%-117.72%-65.86%-65.86%
Liquidity Ratios
Current Ratio
0.768.0317.780.840.761.290.542.05N/AN/A8.430.76
Quick Ratio
2.897.8417.600.840.751.260.501.9410.782.858.030.75
Cash ratio
2.092.3517.020.200.671.110.351.6810.342.567.620.67
Days of Sales Outstanding
40.0741.2063.84119.6190.41135.04140.00201.93202.45240.19198.2190.41
Days of Inventory outstanding
24.9817.1731.4610.1241.82257.85492.56686.64972.16512.25648.3141.82
Operating Cycle
65.0558.3895.31129.74132.24392.89632.56888.571.17K752.45697.18132.24
Days of Payables Outstanding
62.8077.20132.3548.58131.90895.623.17K3.03K942.131.02K399.39131.90
Cash Conversion Cycle
2.25-18.81-37.0381.150.34-502.72-2.54K-2.14K232.48-277.21-41.32-41.32
Debt Ratios
Debt Ratio
0.240.00N/AN/A0.901.211.540.480.130.330.371.21
Debt Equity Ratio
0.040.00N/AN/A-0.54-1.51-1.074.370.170.820.58-0.54
Long-term Debt to Capitalization
0.030.00N/AN/A-0.753.74-1.480.800.140.440.30-0.75
Total Debt to Capitalization
0.040.00N/AN/A-1.212.9513.840.810.140.450.31-1.21
Interest Coverage Ratio
-18.71-2.48K-8.55KN/AN/AN/A-224.97-33.67N/AN/A-18.44N/A
Cash Flow to Debt Ratio
-19.22-44.13N/AN/A-6.92-1.55-1.53-3.40-3.02-1.91-1.88-6.92
Company Equity Multiplier
1.321.121.05-6.39-0.60-1.24-0.699.041.262.441.58-0.60
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.39-0.56-2.14-4.18-25.72-13.03-11.45-15.04-10.64-6.55-7.69-25.72
Free Cash Flow / Operating Cash Flow Ratio
1.221.131.101.011.001.001.011.011.001.001.001.00
Cash Flow Coverage Ratio
-19.22-44.13N/AN/A-6.92-1.55-1.53-3.40-3.02-1.91-1.88-6.92
Short Term Coverage Ratio
-107.53-200.16N/AN/A-32.52-16.01-3.46-70.25-76.94-113.56-66.45-16.01
Dividend Payout Ratio
N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A