TLND

COM:TALEND

Talend

  • Stock

Last Close

65.96

01/01 00:00

Volume Today

71.56K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
asset turnover
1.38
-
1.58
14.91%
0.73
53.64%
0.86
17.37%
0.93
8.43%
0.61
34.19%
0.68
11.61%
cash conversion cycle
85.84
-
110.47
28.69%
77.30
30.02%
99.85
29.17%
80.93
18.95%
112.20
38.64%
106.84
4.78%
cash per share
0.33
-
0.25
24.60%
3.19
1,186.54%
3.00
5.74%
1.13
62.37%
5.79
412.42%
5.16
10.87%
company equity multiplier
-1.24
-
-0.92
25.95%
8.03
976.34%
-155.67
2,039.86%
8.97
105.76%
11.23
25.30%
48.11
328.19%
days of inventory outstanding
days of payables outstanding
27.22
-
24.58
9.69%
57.23
132.81%
44.91
21.53%
42.48
5.42%
26.61
37.35%
15.95
40.06%
days of sales outstanding
113.06
-
135.05
19.45%
134.53
0.38%
144.76
7.60%
123.41
14.75%
138.82
12.48%
122.79
11.55%
dividend yield
ebit per revenue
-0.34
-
-0.36
7.75%
-0.28
22.36%
-0.25
13.13%
-0.19
21.14%
-0.20
5.12%
-0.24
16.15%
-0.25
4.37%
ebt per ebit
1.10
-
0.98
10.71%
1.03
4.64%
0.93
9.37%
1.07
15.52%
0.98
8.87%
1.05
6.98%
1.12
6.44%
effective tax rate
-0.00
-
-0.01
1,849.41%
0.00
103.57%
-0.00
919.34%
-0.01
302.65%
0.01
175.68%
-0.00
130.60%
-0.01
198.47%
enterprise value multiple
-33.91
-
-35.38
4.34%
-24.82
29.85%
-34.73
39.93%
-29.72
14.43%
-21.67
27.07%
-17.00
21.56%
fixed asset turnover
23.02
-
31.69
37.68%
41.68
31.52%
42.79
2.66%
32.25
24.62%
7.47
76.83%
6.35
15.00%
free cash flow per share
-0.31
-
-0.60
93.34%
-0.38
36.23%
0.07
117.79%
-0.16
329.08%
-0.06
62.09%
-0.55
819.06%
-1.04
89.90%
gross profit margin
0.70
-
0.74
5.89%
0.75
1.60%
0.76
0.67%
0.77
1.50%
0.76
1.60%
0.75
0.45%
0.78
3.44%
interest coverage
-19.71
-
-280.94
1,325.63%
-72.69
74.12%
-32.86
54.80%
-14.37K
43,626.85%
inventory turnover
long term debt to capitalization
-0.01
-
-0.24
3,323.11%
0.00
100.14%
-0.01
2,007.18%
0.03
524.12%
0.78
2,812.73%
0.94
20.46%
net income per ebt
1.00
-
1.01
0.85%
1.00
0.92%
1.00
0.29%
1.01
0.79%
0.99
1.82%
1.00
1.05%
1.01
0.48%
net profit margin
-0.37
-
-0.36
2.98%
-0.29
19.50%
-0.23
21.04%
-0.21
8.18%
-0.20
5.95%
-0.25
25.55%
-0.28
11.63%
operating cash flow per share
-0.29
-
-0.51
75.07%
-0.36
30.17%
0.12
133.11%
-0.08
167.84%
0.11
235.13%
-0.47
538.69%
-0.82
72.97%
operating cycle
113.06
-
135.05
19.45%
134.53
0.38%
144.76
7.60%
123.41
14.75%
138.82
12.48%
122.79
11.55%
operating profit margin
-0.34
-
-0.36
7.75%
-0.28
22.36%
-0.25
13.13%
-0.19
21.14%
-0.20
5.12%
-0.24
16.15%
-0.25
4.37%
payables turnover
13.41
-
14.85
10.73%
6.38
57.05%
8.13
27.43%
8.59
5.73%
13.71
59.61%
22.88
66.82%
pretax profit margin
-0.37
-
-0.36
3.80%
-0.29
18.75%
-0.23
21.27%
-0.21
8.90%
-0.20
4.20%
-0.25
24.25%
-0.27
11.09%
price fair value
-19.39
-
-13.59
29.90%
35.17
358.79%
-978.06
2,880.82%
45.28
104.63%
33.25
26.57%
138.57
316.79%
receivables turnover
3.23
-
2.70
16.29%
2.71
0.38%
2.52
7.07%
2.96
17.30%
2.63
11.10%
2.97
13.05%
return on assets
-0.49
-
-0.46
7.50%
-0.17
63.40%
-0.18
7.76%
-0.18
1.98%
-0.15
17.37%
-0.19
24.59%
return on capital employed
1.51
-
1.22
19.67%
-0.54
144.20%
-1.35
151.00%
-0.79
41.09%
-0.28
65.00%
-0.35
24.10%
return on equity
0.61
-
0.42
31.50%
-1.34
420.77%
28.12
2,190.41%
-1.65
105.87%
-1.71
3.53%
-9.12
433.48%
total debt to capitalization
-0.08
-
-0.24
184.41%
0.01
103.42%
14.06
171,379.91%
0.03
99.75%
0.79
2,164.84%
0.95
19.65%

All numbers in (except ratios and percentages)