Stabilis Solutions
Financial ratios & Valuation

Forward Multiples (2025 – 2025)

2025
Price/Earnings ratio
12.31
Price/Sales ratio
0.94
Earnings per Share (EPS)
$0.35

Historical Multiples (2014 – 2023)

2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
-9.57-6.67-1.82-5.73-3.02-12.42-6.86-9.49-81.62614.07-23.27-12.42
Price/Sales ratio
0.790.350.340.271.011.451.110.950.981.040.581.45
Price/Book Value ratio
1.770.760.830.880.661.000.741.211.621.241.020.66
Price/Cash Flow ratio
-20.487.31-1.95-18.72-2.3316.6434.7315.096.6211.434.19-2.33
Price/Free Cash Flow ratio
-6.389.72-1.75-11.70-2.1634.2981.70-25.479.03-21.684.76-2.16
Price/Earnings Growth ratio
0.040.14-0.010.08-0.300.14-1.30-0.750.95-5.56-0.560.14
Dividend Yield
0.66%0.43%0.58%6.10%3.87%N/AN/AN/AN/AN/AN/AN/A
Profitability Indicator Ratios
Gross Profit Margin
8.72%13.42%2.68%5.15%25.21%12.47%6.01%11.17%12.61%14.11%15.08%15.08%
Operating Profit Margin
-3.88%-4.06%-19.48%-9.57%-16.20%-11.53%-19.89%-11.26%0.69%-1.11%-0.18%-16.20%
Pretax Profit Margin
-4.17%-4.41%-18.55%-10.99%-18.04%-11.45%-15.64%-9.05%-0.93%0.50%-0.83%-18.04%
Net Profit Margin
-8.25%-5.28%-18.67%-4.72%-33.68%-11.70%-16.25%-10.10%-1.20%0.17%-2.52%-33.68%
Effective Tax Rate
13.98%-19.76%-0.62%57.01%-21.24%-2.15%-3.93%-11.55%-28.58%66.12%-52.75%-2.15%
Return on Assets
-10.92%-6.72%-19.95%-6.20%-17.56%-6.09%-8.41%-8.92%-1.23%0.15%-2.72%-17.56%
Return On Equity
-18.49%-11.44%-45.54%-15.34%-21.82%-8.11%-10.89%-12.77%-1.99%0.20%-4.40%-21.82%
Return on Capital Employed
-6.75%-6.59%-32.77%-22.26%-10.35%-7.21%-12.50%-12.12%0.99%-1.16%-0.27%-10.35%
Liquidity Ratios
Current Ratio
2.072.301.251.061.440.900.75N/AN/AN/A1.170.90
Quick Ratio
1.842.151.160.981.420.890.740.961.161.261.001.00
Cash ratio
0.340.950.120.140.790.260.120.130.410.450.410.41
Days of Sales Outstanding
94.7768.08121.1010.7343.8046.0963.0944.7360.2939.4957.1743.80
Days of Inventory outstanding
19.3311.3811.7110.834.431.852.112.050.860.980.841.85
Operating Cycle
114.1179.46132.8221.5648.2447.9565.2146.7961.1640.4714.9447.95
Days of Payables Outstanding
45.0234.6297.195.4516.7141.8841.0726.9618.908.8218.4516.71
Cash Conversion Cycle
69.0844.8335.6216.1131.526.0624.1319.8242.2531.6538.9331.52
Debt Ratios
Debt Ratio
0.090.140.160.170.450.140.110.130.120.110.380.38
Debt Equity Ratio
0.150.240.360.420.560.180.140.190.200.150.610.56
Long-term Debt to Capitalization
0.120.150.200.270.350.090.050.140.120.110.120.09
Total Debt to Capitalization
0.130.190.260.290.350.150.120.160.160.130.160.16
Interest Coverage Ratio
-23.60-13.61106.79-4.18-76.29-4.49-9.02N/AN/AN/A-0.25-76.29
Cash Flow to Debt Ratio
-0.550.42-1.15-0.11-0.500.320.150.401.190.691.19-0.50
Company Equity Multiplier
1.691.702.282.471.241.331.291.431.611.311.611.24
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
-0.030.04-0.17-0.01-0.430.080.030.060.140.090.14-0.43
Free Cash Flow / Operating Cash Flow Ratio
3.200.751.101.601.070.480.42-0.590.73-0.520.880.88
Cash Flow Coverage Ratio
-0.550.42-1.15-0.11-0.500.320.150.401.190.691.19-0.50
Short Term Coverage Ratio
-9.951.76-3.66-1.09N/A0.760.242.424.303.634.274.27
Dividend Payout Ratio
-6.34%-2.89%-1.06%-35.05%-11.73%N/AN/AN/AN/AN/AN/A-11.73%