CODE

CNQ:CODE

Cypher Metaverse Inc.

  • Stock

CAD

Last Close

0.11

23/07 20:00

Market Cap

1.48M

Beta: 3.42

PE Ratio

−0.99

PFCF: −0.89

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
0.03
-
0.12
283.47%
0.21
78.24%
0.07
67.53%
-0.15
309.26%
0.00
101.72%
0.14
5,584.87%
-0.43
405.36%
-0.24
45.38%
-0.37
56.76%
-0.00
99.44%
cash per share
0.02
-
0.01
67.82%
0.00
67.33%
0.01
139.39%
0.03
424.33%
0.00
83.48%
0.03
532.45%
0.20
547.83%
0.28
45.13%
0.13
54.55%
0.00
97.57%
company equity multiplier
1.02
-
1.08
5.76%
3.06
182.83%
1.42
53.79%
1.12
21.09%
1.11
0.59%
1.11
0.36%
1.06
4.47%
1.04
1.52%
1.04
0.30%
1.17
12.36%
days of inventory outstanding
days of payables outstanding
days of sales outstanding
65.80
-
405.63
516.42%
460.65
13.56%
66.90
85.48%
-15.51
123.18%
3.64
123.49%
6.08
66.96%
-7.55
224.15%
-1.29
82.96%
-11.57
799.24%
-158.10K
1,366,894.15%
dividend yield
ebit per revenue
-18.89
-
-8.98
52.48%
-10.38
15.61%
-3.73
64.04%
4.87
230.38%
-573.39
11,884.63%
-16.92
97.05%
2.97
117.57%
12.84
331.71%
4.05
68.43%
762.06
18,700.93%
ebt per ebit
0.99
-
1.00
1.13%
1
0.42%
1.00
0.16%
1
0.16%
1
0%
0.98
1.81%
effective tax rate
-0.01
-
0.01
237.41%
0.07
618.94%
-0.00
102.33%
0.02
-
enterprise value multiple
-436.36
-
-601.84
37.92%
-94.77
84.25%
456.56
581.78%
-914.86
300.38%
-85.65
90.64%
-1.09
98.73%
-2.17
99.67%
-0.65
69.91%
0.11
116.25%
-1.03
1,074.80%
fixed asset turnover
-11.05
-
-4.54
58.95%
free cash flow per share
-0.01
-
-0.01
0.58%
-0.01
20.53%
-0.00
88.74%
-0.02
1,450.95%
-0.01
9.91%
-0.97
6,700.37%
-0.41
57.81%
-0.45
9.71%
-0.17
62.51%
-0.10
38.50%
gross profit margin
1
-
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
1
0%
interest coverage
inventory turnover
long term debt to capitalization
0.46
-
0.08
81.99%
net income per ebt
1.01
-
0.99
2.09%
0.93
5.68%
1.00
7.69%
1
0.16%
1
0%
1
0%
net profit margin
-32.16
-
-9.22
71.32%
-11.06
19.90%
6.27
156.73%
4.87
22.44%
-567.79
11,769.51%
-15.74
97.23%
2.97
118.90%
12.84
331.71%
4.05
68.43%
748.29
18,361.15%
operating cash flow per share
-0.01
-
-0.01
5.80%
-0.01
15.15%
-0.00
88.74%
-0.02
1,450.95%
-0.01
10.06%
-0.97
6,711.88%
-0.41
57.81%
-0.39
4.55%
-0.16
59.78%
-0.10
34.10%
operating profit margin
-18.89
-
-8.98
52.48%
-10.38
15.61%
-3.73
64.04%
4.87
230.38%
-573.39
11,884.63%
-16.92
97.05%
2.97
117.57%
12.84
331.71%
4.05
68.43%
762.06
18,700.93%
payables turnover
pretax profit margin
4.83
-
-575.82
12,018.31%
-16.92
97.06%
2.97
117.55%
12.84
332.41%
4.05
68.43%
748.29
18,361.15%
price fair value
450.48
-
719.58
59.74%
688.19
4.36%
282.23
58.99%
724.34
156.65%
130.98
81.92%
2.62
98.00%
3.26
24.19%
2.74
15.90%
0.73
73.25%
1.97
168.04%
receivables turnover
5.55
-
0.90
83.78%
0.79
11.94%
5.46
588.61%
-23.54
531.41%
100.23
525.80%
60.03
40.11%
-48.35
180.55%
-283.79
486.93%
-31.56
88.88%
-0.00
99.99%
return on assets
-1.01
-
-1.11
9.99%
-2.37
113.71%
0.44
118.42%
-0.71
262.31%
-1.42
100.19%
-2.23
57.59%
-1.29
42.30%
-3.04
135.79%
-1.50
50.52%
-1.55
2.98%
return on capital employed
-0.59
-
-1.14
92.07%
-3.30
190.39%
-0.26
92.14%
-0.74
184.58%
-1.46
97.39%
-2.65
81.96%
-1.36
48.81%
-3.16
132.44%
-1.57
50.24%
-1.85
17.84%
return on equity
-1.03
-
-1.20
16.32%
-7.25
504.42%
0.62
108.51%
-0.79
228.07%
-1.57
99.01%
-2.47
57.03%
-1.36
44.88%
-3.16
132.20%
-1.57
50.37%
-1.82
15.71%
total debt to capitalization
0.46
-
0.08
81.99%

All numbers in CAD (except ratios and percentages)