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COM:NUMINUS

Numinus Wellness Inc.

  • Stock

CAD

Last Close

0.05

22/11 20:15

Market Cap

12.82M

Beta: -

Volume Today

349.40K

Avg: -

Preview

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Aug '19
Aug '20
Aug '21
Aug '22
Aug '23
asset turnover
0.03
-
0.17
392.79%
0.02
86.28%
0.12
422.88%
0.95
672.09%
cash conversion cycle
-703.89
-
-572.04
18.73%
-173.27
69.71%
-119.64
30.95%
-35.18
70.59%
cash per share
0.00
-
0.03
1,952.33%
0.36
1,303.16%
0.15
57.56%
0.03
78.67%
company equity multiplier
2.25
-
1.83
18.80%
1.05
42.38%
1.28
21.11%
1.73
35.63%
days of inventory outstanding
6.58
-
0.74
-
days of payables outstanding
1.15K
-
796.36
30.72%
298.38
62.53%
209.67
29.73%
71.15
66.07%
days of sales outstanding
438.98
-
224.31
48.90%
124.37
44.56%
90.02
27.62%
35.97
60.05%
dividend yield
ebit per revenue
-59.54
-
-8.26
86.13%
-10.49
27.00%
-4.31
58.89%
-1.19
72.51%
ebt per ebit
1.14
-
1.32
16.14%
1.18
10.36%
1.60
35.63%
1.10
31.36%
effective tax rate
-0.11
-
-0.24
112.53%
-0.15
36.91%
0.00
100.51%
-0.01
1,098.59%
enterprise value multiple
-12.67
-
-2.09
83.47%
-5.44
160.00%
-1.99
63.41%
-2.03
1.91%
fixed asset turnover
0.04
-
0.36
785.09%
0.48
32.94%
0.57
18.70%
2.37
314.88%
free cash flow per share
-0.06
-
-0.08
31.38%
-0.10
16.41%
-0.13
29.00%
-0.09
30.82%
gross profit margin
-2.35
-
0.10
104.25%
-0.05
153.91%
0.27
607.91%
0.36
32.00%
interest coverage
-124.32
-
-50.70
59.22%
-139.05
174.24%
-50.21
63.89%
-36.17
27.95%
inventory turnover
55.45
-
493.72
-
long term debt to capitalization
0.07
-
0.10
48.98%
0.02
80.90%
0.13
595.24%
0.29
112.93%
net income per ebt
1
-
1
0%
1
0%
1.00
0.08%
1
0.08%
net profit margin
-67.63
-
-10.90
83.89%
-12.40
13.84%
-6.91
44.28%
-1.31
81.11%
operating cash flow per share
-0.05
-
-0.08
60.88%
-0.09
12.54%
-0.12
28.22%
-0.09
28.71%
operating cycle
445.56
-
224.31
49.66%
125.11
44.23%
90.02
28.04%
35.97
60.05%
operating profit margin
-59.54
-
-8.26
86.13%
-10.49
27.00%
-4.31
58.89%
-1.19
72.51%
payables turnover
0.32
-
0.46
44.34%
1.22
166.90%
1.74
42.31%
5.13
194.68%
pretax profit margin
-67.63
-
-10.90
83.89%
-12.40
13.84%
-6.92
44.24%
-1.31
81.13%
price fair value
54.34
-
5.36
90.14%
2.30
56.97%
1.89
17.91%
3.66
93.42%
receivables turnover
0.83
-
1.63
95.70%
2.93
80.36%
4.05
38.15%
10.15
150.30%
return on assets
-2.36
-
-1.87
20.61%
-0.29
84.38%
-0.85
191.36%
-1.24
45.82%
return on capital employed
-4.37
-
-2.34
46.48%
-0.26
89.08%
-0.58
128.47%
-1.40
139.45%
return on equity
-5.32
-
-3.43
35.54%
-0.31
91.00%
-1.09
252.86%
-2.15
97.77%
total debt to capitalization
0.15
-
0.13
14.13%
0.03
80.36%
0.16
522.53%
0.34
111.76%

All numbers in CAD (except ratios and percentages)