av/coveo-solutions--big.svg

COM:COVEO

Coveo

  • Stock

CAD

Last Close

6.80

22/11 21:00

Market Cap

825.30M

Beta: -

Volume Today

215.92K

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
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
asset turnover
0.32
-
0.33
5.64%
0.25
25.11%
0.36
44.88%
0.46
26.02%
cash conversion cycle
182.04
-
149.75
17.74%
164.11
9.59%
156.11
4.88%
162.37
4.01%
cash per share
1.14
-
1.30
13.89%
4.39
236.78%
1.90
56.77%
1.61
15.04%
company equity multiplier
-0.51
-
-0.19
61.70%
1.35
796.42%
1.41
4.48%
1.55
9.36%
days of inventory outstanding
71.99
-
87.97
22.19%
99.70
13.34%
119.14
19.50%
113.82
4.46%
days of payables outstanding
53.63
-
39.83
25.72%
43.11
8.22%
42.01
2.55%
38.14
9.21%
days of sales outstanding
163.67
-
101.61
37.91%
107.51
5.81%
78.97
26.55%
86.69
9.77%
dividend yield
ebit per revenue
-0.15
-
-0.26
73.14%
-0.28
7.40%
-0.66
133.53%
-0.40
40.10%
-0.24
40.61%
ebt per ebit
16.03
-
3.58
77.69%
26.59
643.35%
-4.00
115.06%
0.89
122.22%
0.79
11.66%
effective tax rate
-0.23
-
-0.18
22.71%
-0.23
26.25%
-0.82
262.39%
-0.01
99.37%
-0.01
118.04%
enterprise value multiple
-101.10
-
-86.91
14.03%
-4.05
95.34%
-13.57
234.94%
-70.13
416.72%
fixed asset turnover
3.07
-
3.27
6.46%
4.82
47.36%
7.73
60.49%
10.83
40.16%
free cash flow per share
-0.03
-
-0.19
482.76%
0.02
111.39%
-0.74
3,518.23%
-0.08
89.85%
0.03
139.71%
gross profit margin
0.77
-
0.77
0.64%
0.75
2.66%
0.75
0.64%
0.76
1.32%
0.78
2.48%
interest coverage
-0.77
-
-1.20
55.93%
-1.11
8.00%
-4.53
309.28%
-70.51
1,454.99%
-55.83
20.82%
inventory turnover
5.07
-
4.15
18.16%
3.66
11.77%
3.06
16.32%
3.21
4.67%
long term debt to capitalization
-0.03
-
-0.01
61.20%
0.04
428.31%
0.04
6.19%
0.04
5.51%
net income per ebt
1.23
-
1.18
4.29%
1.23
4.01%
1.82
48.61%
1.01
44.89%
1.01
0.61%
net profit margin
-3.01
-
-1.11
63.02%
-9.25
730.35%
4.84
152.28%
-0.35
107.34%
-0.19
47.22%
operating cash flow per share
-0.03
-
-0.12
384.30%
0.06
146.24%
-0.70
1,320.60%
-0.06
91.42%
0.04
167.94%
operating cycle
235.66
-
189.58
19.55%
207.22
9.30%
198.12
4.39%
200.51
1.21%
operating profit margin
-0.15
-
-0.26
73.14%
-0.28
7.40%
-0.66
133.53%
-0.40
40.10%
-0.24
40.61%
payables turnover
6.81
-
9.16
34.63%
8.47
7.59%
8.69
2.61%
9.57
10.15%
pretax profit margin
-2.44
-
-0.94
61.36%
-7.54
698.36%
2.65
135.18%
-0.35
113.31%
-0.19
47.54%
price fair value
-3.34
-
-1.31
60.90%
1.61
222.81%
2.76
71.85%
4.29
55.58%
receivables turnover
2.23
-
3.59
61.07%
3.39
5.49%
4.62
36.14%
4.21
8.90%
return on assets
-0.35
-
-3.09
777.18%
1.21
139.15%
-0.13
110.63%
-0.09
33.48%
return on capital employed
-0.11
-
-0.13
20.61%
-0.21
59.61%
-0.19
8.74%
-0.16
17.77%
return on equity
0.18
-
0.60
235.96%
1.64
172.65%
-0.18
111.10%
-0.13
27.26%
total debt to capitalization
-0.04
-
-0.01
61.56%
0.05
439.36%
0.05
2.77%
0.05
1.70%

All numbers in CAD (except ratios and percentages)