Liquid Media Group Ltd.
Financial ratios & Valuation

Historical Multiples (2013 – 2023)

2013 2014 2015 2016 2018 2019 2020 2021 2022 2023 TTM Median
Valuation Ratios
Price/Earnings ratio
79.0449.98181.71-35.68-6.37-13.19-14.27-430.5166.1476.53-0.23-6.37
Price/Sales ratio
2.713.794.554.2269.51234.331.94K7.16K3.433.370.63234.33
Price/Book Value ratio
3.984.534.663.985.8019.039.65781.315.134.840.4919.03
Price/Cash Flow ratio
23.8718.22-3.20K-55.76146.45-24.97-15.00-1.53K15.8315.57-0.57-0.57
Price/Free Cash Flow ratio
101.3422.15-112.05-37.35195.74-24.17-8.64-1.52K22.1319.67-0.55-0.55
Price/Earnings Growth ratio
-1.370.58-2.450.070.080.300.264.20-14.26-3.240.000.30
Dividend Yield
3.54%N/AN/AN/AN/AN/AN/AN/A0.48%0.33%N/AN/A
Profitability Indicator Ratios
Gross Profit Margin
37.16%45.09%40.83%28.65%-10.38%-362.63%-1512.94%-0.48%16.02%44.67%29.82%-10.38%
Operating Profit Margin
5.85%10.67%2.45%22.32%-312.65%-1647.10%-17144.72%-798.90%16.02%8.74%-152.67%-312.65%
Pretax Profit Margin
5.20%9.26%3.32%-15.80%-1090.89%-1814.36%-10954.85%-1665.44%8.77%7.78%-274.35%-1090.89%
Net Profit Margin
3.42%7.59%2.50%-11.83%-1091.13%-1776.48%-13643.45%-1664.43%5.19%4.41%-267.39%-1091.13%
Effective Tax Rate
34.15%18.00%24.51%25.09%-0.02%2.08%-24.54%0.06%38.47%40.96%2.47%-0.02%
Return on Assets
4.18%7.68%2.27%-9.81%-48.14%-49.54%-53.59%-110.48%3.58%3.06%-82.12%-49.54%
Return On Equity
5.03%9.07%2.56%-11.16%-91.03%-144.31%-67.67%-181.48%7.76%6.33%-180.91%-144.31%
Return on Capital Employed
8.36%12.47%2.48%20.90%-19.98%-73.76%-84.66%4.18%16.86%9.22%-71.97%-73.76%
Liquidity Ratios
Current Ratio
N/AN/AN/AN/A1.141.090.59N/AN/AN/A0.521.09
Quick Ratio
0.391.501.470.671.141.090.590.041.091.100.461.09
Cash ratio
0.021.171.090.180.890.790.280.020.030.120.080.79
Days of Sales Outstanding
15.9711.908.2710.75325.69789.162.38K370.0966.5949.73157.79789.16
Days of Inventory outstanding
36.3725.4560.7344.97N/AN/AN/AN/A3.885.58N/AN/A
Operating Cycle
52.3437.3669.0155.73325.69789.162.38K370.0970.4755.3238.90789.16
Days of Payables Outstanding
64.7285.1472.0270.379.56K2.56K8.65K4.04K174.5829.76397.842.56K
Cash Conversion Cycle
-12.37-47.78-3.01-14.63-9.23K-1.77K-6.26K-3.67K-104.1025.55-240.04-9.23K
Debt Ratios
Debt Ratio
0.010.00N/AN/A0.05N/A0.000.010.110.110.600.05
Debt Equity Ratio
0.010.00N/AN/A0.11N/A0.000.030.250.231.520.11
Long-term Debt to Capitalization
0.00N/AN/AN/AN/AN/A0.000.020.170.150.03N/A
Total Debt to Capitalization
0.010.00N/AN/A0.10N/A0.000.030.200.180.09N/A
Interest Coverage Ratio
N/AN/AN/AN/A-48.01-18.81-36.43N/AN/AN/A-202.17-18.81
Cash Flow to Debt Ratio
8.9642.51N/AN/A0.34N/A-112.38-16.241.261.33-8.41N/A
Company Equity Multiplier
1.201.181.121.131.892.911.261.642.162.062.521.89
Cash Flow Ratios
Operating Cash Flow / Sales Ratio
0.110.20-0.00-0.070.47-9.38-129.73-4.650.210.21-1.10-1.10
Free Cash Flow / Operating Cash Flow Ratio
0.230.8228.631.490.741.031.731.010.710.791.040.74
Cash Flow Coverage Ratio
8.9642.51N/AN/A0.34N/A-112.38-16.241.261.33-8.41N/A
Short Term Coverage Ratio
13.6542.51N/AN/A0.34N/A-525.80-57.906.345.70-13.58N/A
Dividend Payout Ratio
280.41%N/AN/AN/AN/AN/AN/AN/A32.09%25.74%N/AN/A