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COM:CANAAN-CREATIVE

Canaan Inc.

  • Stock

USD

Last Close

1.82

22/11 21:00

Market Cap

291.82M

Beta: -

Volume Today

177.39K

Avg: -

Preview

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Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
1.09
-
1.93
77.40%
1.43
25.60%
0.43
69.90%
0.89
104.96%
0.90
1.55%
0.43
52.32%
cash conversion cycle
117.71
-
110.75
5.91%
19.00
82.84%
173.31
812.02%
114.33
34.03%
193.63
69.36%
210.59
8.76%
cash per share
2.03
-
1.64
19.25%
0.53
67.92%
0.44
15.47%
2.51
464.12%
4.52
80.54%
company equity multiplier
1.40
-
5.82
314.71%
1.43
75.42%
2.40
67.42%
1.63
32.03%
1.10
32.15%
1.42
28.22%
days of inventory outstanding
134.78
-
97.29
27.81%
36.92
62.06%
200.81
443.97%
138.82
30.87%
209.77
51.11%
114.83
45.26%
days of payables outstanding
26.16
-
7.85
70.00%
18.65
137.64%
33.31
78.60%
24.51
26.41%
16.14
34.16%
5.04
68.77%
days of sales outstanding
9.09
-
21.31
134.47%
0.74
96.54%
5.81
688.68%
0.03
99.54%
100.80
-
dividend yield
0.07
-
ebit per revenue
0.30
-
0.09
69.43%
-0.94
1,113.81%
-0.57
39.79%
0.37
164.65%
0.13
65.26%
-1.94
1,625.20%
ebt per ebit
1.01
-
0.80
21.02%
0.77
3.09%
0.85
9.73%
1.12
32.37%
1.45
29.56%
1.13
22.03%
effective tax rate
0.06
-
0.39
519.44%
0.26
32.75%
1.20
357.76%
0.02
97.96%
0.19
668.71%
0.11
41.29%
enterprise value multiple
18.57
-
39.70
113.75%
-41.30
204.05%
-178.32
331.71%
17.65
109.90%
4.49
74.57%
0.39
91.27%
fixed asset turnover
71.08
-
96.87
36.30%
31.36
67.63%
16.82
46.36%
23.03
36.94%
6.98
69.71%
6.79
2.72%
free cash flow per share
0.60
-
-0.24
139.84%
-2.01
743.97%
0.26
112.77%
8.33
3,148.60%
-1.66
119.93%
gross profit margin
0.46
-
0.19
59.35%
-0.36
293.11%
0.08
123.26%
0.57
577.70%
0.40
30.17%
-1.14
385.23%
interest coverage
4.74
-
-66.86
1,511.95%
-70.78
5.85%
35.00
-
inventory turnover
2.71
-
3.75
38.53%
9.89
163.56%
1.82
81.62%
2.63
44.65%
1.74
33.82%
3.18
82.67%
long term debt to capitalization
0.02
-
0.01
59.83%
0.00
38.48%
0.00
51.53%
0.00
73.48%
net income per ebt
0.94
-
0.61
34.77%
0.74
20.81%
-0.20
126.58%
0.98
596.97%
0.81
16.75%
0.89
9.55%
net profit margin
0.29
-
0.05
84.25%
-0.54
1,286.89%
0.09
117.56%
0.40
325.31%
0.15
62.52%
-1.96
1,402.79%
operating cash flow per share
0.69
-
-0.08
111.61%
-1.95
2,321.32%
0.27
113.86%
8.56
3,064.40%
-1.57
118.37%
operating cycle
143.87
-
118.60
17.56%
37.65
68.25%
206.62
448.76%
138.85
32.80%
209.77
51.08%
215.63
2.79%
operating profit margin
0.30
-
0.09
69.43%
-0.94
1,113.81%
-0.57
39.79%
0.37
164.65%
0.13
65.26%
-1.94
1,625.20%
payables turnover
13.95
-
46.51
233.37%
19.57
57.92%
10.96
44.01%
14.89
35.89%
22.62
51.88%
72.42
220.22%
pretax profit margin
0.31
-
0.07
75.85%
-0.73
1,082.43%
-0.48
33.93%
0.41
185.58%
0.19
54.98%
-2.20
1,289.21%
price fair value
8.99
-
40.62
351.67%
61.60
51.64%
91.35
48.30%
10.17
88.87%
0.50
95.04%
receivables turnover
40.16
-
17.13
57.35%
495.34
2,791.70%
62.81
87.32%
13.59K
21,534.25%
3.62
-
return on assets
0.31
-
0.09
72.06%
-0.77
983.06%
0.04
105.29%
0.36
771.72%
0.14
61.94%
-0.84
721.16%
return on capital employed
0.46
-
1.04
124.94%
-1.90
281.92%
-0.57
69.85%
0.52
190.12%
0.13
75.53%
-1.15
1,009.53%
return on equity
0.44
-
0.51
15.89%
-1.10
317.10%
0.10
108.85%
0.58
492.48%
0.15
74.18%
-1.19
896.46%
total debt to capitalization
0.10
-
0.81
741.62%
0.18
78.04%
0.13
27.17%
0.01
93.14%
0.01
33.82%
0.00
30.86%

All numbers in USD (except ratios and percentages)