METS

COM:MAESTROSELECTRONICS

Maestros Electronics & Telecommunications Systems Ltd.

  • Stock

Last Close

131.35

22/11 08:38

Market Cap

935.64M

Beta: -

Volume Today

1.96K

Avg: -

Preview

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Mar '20
Mar '21
Mar '22
Mar '23
average inventory
108.96M
-
37.50M
65.58%
37.28M
0.57%
average payables
56.47M
-
33.93M
39.91%
15.57M
54.12%
average receivables
98.41M
-
154.47M
56.97%
146.23M
5.34%
book value per share
29.31
-
39.18
33.65%
40.94
4.50%
46.41
13.35%
capex per share
-0.46
-
-0.43
6.72%
-0.90
108.39%
-1.96
118.94%
capex to depreciation
-0.54
-
-0.66
22.66%
-1.33
101.56%
-2.78
109.32%
capex to operating cash flow
0.07
-
-0.01
112.55%
0.06
781.18%
0.19
223.46%
capex to revenue
-0.02
-
-0.00
72.08%
-0.04
789.10%
-0.04
0.80%
cash per share
14.66
-
59.59
306.39%
44.52
25.29%
32.99
25.89%
days of inventory on hand
1.07K
-
28.77
97.32%
390.98
1,259.06%
69.62
82.19%
days payables outstanding
313.31
-
60.71
80.62%
87.30
43.80%
53.36
38.87%
days sales outstanding
142.87
-
110.38
22.74%
540.79
389.94%
188.92
65.07%
debt to assets
0.20
-
0.04
82.18%
0.04
7.21%
0.11
191.46%
debt to equity
0.54
-
0.10
81.81%
0.09
4.47%
0.19
101.36%
dividend yield
0.01
-
earnings yield
0.01
-
0.17
1,488.85%
0.04
74.36%
0.12
185.80%
enterprise value
412.00M
-
359.05M
12.85%
310.01M
13.66%
293.03M
5.48%
enterprise value over ebitda
25.03
-
4.06
83.77%
9.84
142.21%
6.26
36.40%
ev to operating cash flow
-11.62
-
1.30
111.16%
-3.66
382.23%
-5.11
39.65%
ev to sales
3.04
-
0.76
75.18%
2.78
268.38%
1.19
57.17%
free cash flow per share
-7.22
-
49.83
789.73%
-16.27
132.66%
-12.37
23.98%
free cash flow yield
-0.11
-
0.81
808.16%
-0.30
137.69%
-0.28
8.64%
graham net net
-7.49
-
15.38
305.32%
14.13
8.14%
22.29
57.72%
graham number
20.89
-
94.99
354.79%
45.77
51.82%
75.14
64.18%
income quality
-6.83
-
3.59
152.54%
-5.01
239.80%
-1.43
71.56%
intangibles to total assets
0
-
0
0
0
interest coverage
1.77
-
7.96
350.38%
2.61
67.23%
13.21
406.38%
interest debt per share
17.00
-
5.75
66.17%
5.74
0.12%
9.29
61.72%
inventory turnover
0.34
-
12.69
3,626.24%
0.93
92.64%
5.24
461.58%
invested capital
0.54
-
0.10
81.81%
0.09
4.47%
0.19
101.36%
market cap
332.39M
-
340.26M
2.37%
294.80M
13.36%
245.32M
16.79%
net current asset value
69.45M
-
134.32M
93.40%
143.88M
7.12%
168.32M
16.98%
net debt to ebitda
4.84
-
0.21
95.60%
0.48
127.07%
1.02
111.01%
net income per share
0.66
-
10.24
1,447.50%
2.27
77.79%
5.41
137.82%
operating cash flow per share
-6.76
-
50.26
843.16%
-15.38
130.59%
-10.41
32.31%
payables turnover
1.16
-
6.01
416.06%
4.18
30.46%
6.84
63.60%
receivables turnover
2.55
-
3.31
29.43%
0.67
79.59%
1.93
186.25%
research and ddevelopement to revenue
0.00
-
0.00
53.31%
0.00
478.05%
0.00
29.88%
return on tangible assets
0.01
-
0.10
1,034.06%
0.02
76.14%
0.07
203.70%
revenue per share
25.83
-
86.30
234.05%
20.23
76.56%
44.64
120.70%
roe
0.02
-
0.26
1,057.85%
0.06
78.74%
0.12
109.82%
roic
0.03
-
0.26
672.79%
0.08
68.04%
0.10
25.42%
sales general and administrative to revenue
0.04
-
0.01
78.51%
0.04
415.49%
0.03
25.66%
shareholders equity per share
29.31
-
39.18
33.65%
40.94
4.50%
46.41
13.35%
stock based compensation to revenue
tangible asset value
153.68M
-
215.88M
40.47%
225.60M
4.50%
255.71M
13.35%
tangible book value per share
29.31
-
39.18
33.65%
40.94
4.50%
46.41
13.35%
working capital
121.45M
-
148.40M
22.18%
158.37M
6.72%
183.44M
15.83%

All numbers in (except ratios and percentages)