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COM:TARO

Taro Pharmaceutical Industries

  • Stock

Last Close

42.97

21/06 19:59

Market Cap

1.62B

Beta: -

Volume Today

147.06K

Avg: -

Preview

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Mar '14
Mar '15
Mar '16
Mar '17
Mar '18
Mar '19
Mar '20
Mar '21
Mar '22
Mar '23
Mar '24
asset turnover
0.59
-
0.50
16.00%
0.43
12.50%
0.38
11.62%
0.27
29.17%
0.31
15.32%
0.28
12.22%
0.23
17.18%
0.26
13.09%
0.27
4.02%
0.29
8.47%
cash conversion cycle
-107.05
-
-169.61
58.44%
-31.62
81.36%
74.53
335.71%
400.39
437.24%
339.47
15.21%
338.31
0.34%
349.78
3.39%
392.94
12.34%
354.83
9.70%
283.26
20.17%
cash per share
14.28
-
21.48
50.43%
28.68
33.55%
33.58
17.06%
35.43
5.51%
26.91
24.04%
28.83
7.12%
26.79
7.07%
21.80
18.61%
22.62
3.75%
23.40
3.42%
company equity multiplier
1.26
-
1.23
2.67%
1.13
7.95%
1.11
2.25%
1.10
0.37%
1.12
1.56%
1.11
0.69%
1.41
26.95%
1.27
9.99%
1.23
2.98%
1.21
2.27%
days of inventory outstanding
239.51
-
235.56
1.65%
294.39
24.97%
247.35
15.98%
266.01
7.54%
241.11
9.36%
228.01
5.43%
260.81
14.39%
286.36
9.80%
271.59
5.16%
230.59
15.10%
days of payables outstanding
491.33
-
605.39
23.21%
521.55
13.85%
367.98
29.44%
47.27
87.15%
57.09
20.76%
42.98
24.70%
88.48
105.85%
92.85
4.93%
82.06
11.62%
50.28
38.72%
days of sales outstanding
144.77
-
200.21
38.29%
195.54
2.33%
195.16
0.19%
181.65
6.92%
155.45
14.42%
153.29
1.39%
177.45
15.76%
199.42
12.38%
165.30
17.11%
102.95
37.72%
dividend yield
0.12
-
ebit per revenue
0.57
-
0.61
7.90%
0.65
5.70%
0.59
9.39%
0.46
21.82%
0.44
3.41%
0.38
13.52%
1.28
235.60%
0.33
74.40%
0.03
90.59%
0.03
10.57%
ebt per ebit
1.03
-
1.10
6.85%
1.04
5.99%
1.09
5.08%
0.96
11.40%
1.20
24.87%
1.21
0.34%
-0.56
145.92%
0.42
176.07%
2.16
410.82%
3.84
78.17%
effective tax rate
0.19
-
0.17
11.39%
0.15
9.37%
0.19
23.64%
0.28
51.47%
0.21
25.29%
0.18
14.31%
-0.02
113.77%
0.25
1,117.97%
0.33
32.78%
0.35
4.27%
enterprise value multiple
10.62
-
11.28
6.25%
8.91
21.04%
8.27
7.10%
9.43
13.98%
13.04
38.24%
7.28
44.17%
3.04
58.21%
6.56
115.69%
14.46
120.47%
23.27
60.93%
fixed asset turnover
5.01
-
5.64
12.44%
5.96
5.74%
4.88
18.10%
3.42
30.03%
3.25
4.94%
3.07
5.46%
2.67
13.01%
2.81
5.23%
3.01
7.20%
2.89
4.04%
free cash flow per share
7.49
-
9.03
20.50%
8.78
2.80%
9.73
10.81%
7.33
24.70%
7.52
2.59%
6.32
15.86%
0.75
88.15%
-4.54
705.46%
0.37
108.16%
2.08
462.25%
gross profit margin
0.76
-
0.78
2.64%
0.82
4.50%
0.76
6.83%
0.70
8.26%
0.67
4.98%
0.62
6.83%
0.54
12.83%
0.52
3.37%
0.47
10.31%
0.48
3.50%
interest coverage
284.00
-
568.57
100.20%
1.30K
128.48%
3.93K
202.59%
996.74
74.64%
1.16K
16.08%
340.05
70.61%
516.83
51.99%
111.53
78.42%
-1.00
100.90%
inventory turnover
1.52
-
1.55
1.67%
1.24
19.98%
1.48
19.02%
1.37
7.02%
1.51
10.33%
1.60
5.75%
1.40
12.58%
1.27
8.92%
1.34
5.44%
1.58
17.78%
long term debt to capitalization
0.01
-
0.00
39.07%
-0.00
119.96%
-0.00
12.95%
-0.00
23.52%
-0.00
64.05%
-0.00
21.35%
-0.00
19.51%
-0.00
-
net income per ebt
0.81
-
0.83
2.55%
0.85
2.03%
0.81
4.20%
0.72
11.25%
0.79
9.33%
0.82
3.79%
1.02
25.04%
0.75
26.97%
0.67
11.02%
0.65
2.14%
net profit margin
0.47
-
0.56
18.23%
0.57
1.39%
0.52
8.79%
0.32
38.53%
0.42
31.86%
0.38
9.94%
-0.73
292.71%
0.10
114.22%
0.04
57.21%
0.09
92.78%
operating cash flow per share
8.08
-
9.50
17.57%
9.23
2.86%
10.59
14.84%
8.06
23.91%
8.30
2.99%
7.06
14.94%
1.20
83.04%
-4.22
451.97%
0.84
120.04%
3.52
316.97%
operating cycle
384.28
-
435.77
13.40%
489.93
12.43%
442.51
9.68%
447.66
1.16%
396.56
11.41%
381.30
3.85%
438.26
14.94%
485.79
10.84%
436.89
10.07%
333.54
23.66%
operating profit margin
0.57
-
0.61
7.90%
0.65
5.70%
0.59
9.39%
0.46
21.82%
0.44
3.41%
0.38
13.52%
1.28
235.60%
0.33
74.40%
0.03
90.59%
0.03
10.57%
payables turnover
0.74
-
0.60
18.84%
0.70
16.08%
0.99
41.73%
7.72
678.40%
6.39
17.19%
8.49
32.80%
4.13
51.42%
3.93
4.70%
4.45
13.15%
7.26
63.19%
pretax profit margin
0.58
-
0.67
15.30%
0.67
0.63%
0.64
4.79%
0.44
30.74%
0.53
20.60%
0.46
13.23%
-0.71
254.12%
0.14
119.47%
0.07
51.91%
0.13
97.00%
price fair value
4.84
-
4.28
11.58%
3.18
25.75%
2.33
26.68%
1.78
23.48%
2.23
24.97%
1.12
49.78%
1.65
47.85%
0.95
42.48%
0.53
44.50%
0.89
67.62%
receivables turnover
2.52
-
1.82
27.69%
1.87
2.39%
1.87
0.19%
2.01
7.44%
2.35
16.85%
2.38
1.41%
2.06
13.61%
1.83
11.02%
2.21
20.65%
3.55
60.56%
return on assets
0.28
-
0.28
0.69%
0.25
11.28%
0.20
19.38%
0.09
56.46%
0.13
52.07%
0.10
20.95%
-0.17
259.60%
0.03
116.08%
0.01
55.50%
0.02
109.10%
return on capital employed
0.42
-
0.37
11.44%
0.32
14.41%
0.25
21.73%
0.14
44.81%
0.15
12.98%
0.12
24.62%
0.41
249.79%
0.11
74.03%
0.01
90.42%
0.01
17.98%
return on equity
0.35
-
0.34
3.34%
0.28
18.34%
0.22
21.20%
0.10
56.62%
0.15
54.43%
0.12
21.49%
-0.24
302.62%
0.03
114.47%
0.01
56.82%
0.03
104.36%
total debt to capitalization
0.02
-
0.00
75.97%
-0.03
892.45%
-0.03
18.47%
-0.00
90.88%
0.01
395.87%
-0.00
116.93%
-0.00
53.18%
0.00
324.14%
-0.00
159.39%

All numbers in (except ratios and percentages)