bf/NASDAQ:VTRU_icon.png

BR:COM:VITRU

Vitru Educação

  • Stock

USD

Last Close

9.18

06/06 20:00

Market Cap

304.24M

Beta: -

Volume Today

3.92K

Avg: -

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
0.33
-
0.42
30.21%
0.31
27.36%
0.41
34.32%
0.23
43.66%
0.33
43.64%
cash conversion cycle
65.90
-
100.06
51.83%
46.21
53.82%
75.62
63.64%
14.99
80.18%
-9.97
166.55%
cash per share
7.25
-
3.24
55.28%
32.19
892.57%
14.34
55.46%
2.77
80.66%
6.60
137.90%
company equity multiplier
2.59
-
2.27
12.22%
2.41
6.27%
1.73
28.45%
1.43
16.98%
2.60
81.66%
2.57
1.29%
days of inventory outstanding
26.60
-
78.28
194.32%
16.81
78.53%
53.03
215.50%
14.53
72.59%
0.00
100.00%
days of payables outstanding
33.79
-
51.72
53.05%
53.06
2.59%
63.18
19.07%
72.45
14.67%
61.10
15.66%
days of sales outstanding
73.10
-
73.50
0.55%
82.46
12.20%
85.77
4.01%
72.90
15.01%
51.13
29.86%
dividend yield
0.00
-
ebit per revenue
-0.02
-
0.08
521.31%
0.34
299.48%
0.37
10.98%
0.34
7.65%
0.21
39.01%
ebt per ebit
6.57
-
-1.99
130.29%
0.19
109.52%
0.21
10.97%
0.00
98.84%
0.23
9,503.75%
effective tax rate
0.10
-
0.14
41.66%
-0.58
509.45%
-0.43
25.50%
-83.82
19,339.52%
0.13
100.16%
enterprise value multiple
13.29
-
15.65
17.71%
7.29
53.41%
6.52
10.63%
8.79
34.87%
9.30
5.78%
fixed asset turnover
2.77
-
2.91
4.84%
2.31
20.50%
2.60
12.39%
2.42
6.97%
3.53
46.16%
free cash flow per share
0.66
-
0.49
25.52%
1.04
111.74%
0.29
71.86%
0.92
215.74%
4.86
427.03%
gross profit margin
0.52
-
0.54
4.13%
0.57
5.95%
0.62
7.83%
0.62
0.07%
0.66
6.49%
interest coverage
-0.12
-
0.68
659.05%
2.70
295.72%
3.14
15.99%
1.71
45.39%
inventory turnover
13.72
-
4.66
66.02%
21.72
365.74%
6.88
68.30%
25.11
264.89%
669.48M
2,665,657,873.32%
long term debt to capitalization
0.10
-
0.12
22.44%
0.16
29.25%
0.11
28.64%
0.11
1.97%
0.45
299.98%
0.50
12.27%
net income per ebt
0.90
-
0.86
4.62%
1.58
83.87%
1.43
9.35%
84.82
5,826.48%
1.13
98.66%
net profit margin
-0.12
-
-0.14
21.72%
0.10
169.93%
0.11
11.64%
0.07
36.78%
0.06
21.73%
operating cash flow per share
2.17
-
2.43
11.76%
4.06
67.21%
2.84
30.23%
4.58
61.40%
6.26
36.87%
operating cycle
99.70
-
151.78
52.24%
99.27
34.60%
138.80
39.82%
87.43
37.01%
51.13
41.52%
operating profit margin
-0.02
-
0.08
521.31%
0.34
299.48%
0.37
10.98%
0.34
7.65%
0.21
39.01%
payables turnover
10.80
-
7.06
34.66%
6.88
2.52%
5.78
16.02%
5.04
12.79%
5.97
18.57%
pretax profit margin
-0.13
-
-0.17
27.61%
0.06
138.03%
0.08
23.15%
0.00
98.93%
0.05
5,757.31%
price fair value
2.76
-
3.28
19.17%
1.46
55.48%
1.69
15.49%
1.47
12.77%
1.23
16.76%
receivables turnover
4.99
-
4.97
0.54%
4.43
10.87%
4.26
3.86%
5.01
17.65%
7.14
42.58%
return on assets
-0.04
-
-0.06
58.50%
0.03
150.79%
0.05
49.95%
0.02
64.38%
0.02
12.42%
return on capital employed
-0.01
-
0.04
686.41%
0.13
198.92%
0.19
38.86%
0.09
53.59%
0.08
11.00%
return on equity
-0.09
-
-0.15
68.43%
0.05
136.34%
0.07
24.49%
0.04
35.30%
0.05
10.98%
total debt to capitalization
0.12
-
0.15
21.49%
0.19
27.52%
0.24
26.53%
0.13
44.13%
0.47
258.76%
0.52
9.81%

All numbers in USD (except ratios and percentages)