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COM:VIMEO

Vimeo, Inc.

  • Stock

USD

Last Close

6.66

22/11 21:00

Market Cap

622.90M

Beta: -

Volume Today

1.17M

Avg: -

Preview

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Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
average inventory
5.65M
-
9.06M
60.37%
5.69M
37.25%
7.20M
26.53%
average payables
2.41M
-
10.41M
332.59%
12.96M
24.45%
6.56M
49.41%
average receivables
11.34M
-
21.12M
86.20%
30.44M
44.15%
29.02M
4.67%
book value per share
0.14
-
0.52
260.01%
2.32
347.48%
2.15
7.06%
2.39
10.97%
capex per share
-0.02
-
-0.01
69.87%
-0.00
45.83%
-0.00
75.43%
-0.00
86.17%
capex to depreciation
-0.28
-
-0.06
79.92%
-0.07
18.43%
-0.11
67.16%
-0.02
79.68%
capex to operating cash flow
0.10
-
-0.06
159.08%
-0.03
54.19%
0.02
177.56%
-0.00
113.21%
capex to revenue
-0.01
-
-0.00
79.15%
-0.00
61.88%
-0.00
63.01%
-0.00
86.02%
cash per share
0.01
-
0.67
5,573.59%
2.01
200.60%
1.67
16.99%
1.88
12.79%
days of inventory on hand
21.39
-
27.67
29.35%
40.50
46.36%
57.38
-
days payables outstanding
7.00
-
13.62
94.51%
62.30
357.39%
29.65
52.41%
18.72
36.87%
days sales outstanding
18.43
-
16.48
10.60%
27.45
66.57%
26.50
3.46%
23.28
12.15%
debt to assets
0.36
-
0.25
29.01%
debt to equity
4.12
-
1.11
73.05%
dividend yield
0.00
-
earnings yield
-0.01
-
-0.01
33.01%
-0.02
239.82%
-0.14
668.79%
0.04
124.88%
enterprise value
9.46B
-
9.35B
1.17%
2.55B
72.72%
288.89M
88.67%
325.37M
12.63%
enterprise value over ebitda
-167.21
-
-366.83
119.39%
-57.94
84.21%
-4.13
92.86%
10.66
357.84%
ev to operating cash flow
-348.00
-
674.33
293.77%
159.81
76.30%
-7.79
104.88%
8.61
210.50%
ev to sales
48.25
-
33.00
31.60%
6.51
80.28%
0.67
89.75%
0.78
16.90%
free cash flow per share
-0.18
-
0.08
143.42%
0.10
22.40%
-0.23
337.71%
0.24
202.20%
free cash flow yield
-0.00
-
0.00
143.42%
0.01
288.46%
-0.07
1,344.67%
0.06
189.43%
graham net net
-1.44
-
-0.99
30.99%
0.44
144.69%
0.28
36.17%
0.55
94.06%
graham number
1.22
-
1.90
55.29%
4.15
118.89%
4.85
16.82%
2.72
43.82%
income quality
0.36
-
-0.27
176.13%
-0.30
10.43%
0.47
254.05%
1.72
268.21%
intangibles to total assets
0.90
-
0.62
31.25%
0.39
37.04%
0.41
6.11%
0.40
3.91%
interest coverage
-7.06
-
-4.47
36.61%
-52.42
1,071.87%
-168.92
222.24%
13.07
107.74%
interest debt per share
0.65
-
0.63
2.18%
0.01
98.85%
0.00
58.94%
0.01
108.81%
inventory turnover
17.06
-
13.19
22.69%
9.01
31.67%
6.36
-
invested capital
4.12
-
1.11
73.05%
market cap
9.36B
-
9.36B
0%
2.87B
69.33%
563.38M
80.38%
626.75M
11.25%
net current asset value
-229.63M
-
-155.27M
32.38%
91.40M
158.86%
72.75M
20.40%
110.78M
52.27%
net debt to ebitda
-1.69
-
0.61
135.90%
7.31
1,106.68%
3.93
46.30%
-9.87
351.34%
net income per share
-0.46
-
-0.31
33.01%
-0.33
7.07%
-0.48
46.82%
0.14
128.44%
operating cash flow per share
-0.17
-
0.08
151.00%
0.10
18.24%
-0.23
326.18%
0.24
204.71%
payables turnover
52.12
-
26.80
48.59%
5.86
78.14%
12.31
110.12%
19.50
58.41%
receivables turnover
19.80
-
22.15
11.86%
13.30
39.96%
13.78
3.58%
15.68
13.84%
research and ddevelopement to revenue
0.24
-
0.23
5.30%
0.27
18.85%
0.29
9.36%
0.26
12.95%
return on tangible assets
-2.85
-
-0.36
87.39%
-0.13
62.90%
-0.22
68.37%
0.06
126.18%
revenue per share
1.19
-
1.72
44.49%
2.45
42.07%
2.64
7.62%
2.61
1.02%
roe
-3.20
-
-0.60
81.39%
-0.14
76.07%
-0.22
57.97%
0.06
125.63%
roic
-0.50
-
-0.23
53.84%
-0.17
27.51%
-0.24
43.60%
0.03
112.57%
sales general and administrative to revenue
0.17
-
0.18
0.90%
0.22
23.47%
0.25
13.72%
0.12
52.29%
shareholders equity per share
0.14
-
0.52
260.01%
2.32
347.48%
2.15
7.06%
2.39
10.97%
stock based compensation to revenue
0.03
-
0.04
52.59%
0.11
178.28%
0.15
29.63%
0.03
80.57%
tangible asset value
-221.34M
-
-145.11M
34.44%
117.00M
180.63%
102.98M
11.98%
134.20M
30.31%
tangible book value per share
-1.35
-
-0.88
34.44%
0.73
182.83%
0.63
14.32%
0.84
33.87%
working capital
-187.81M
-
-102.03M
45.68%
112.11M
209.88%
91.37M
18.50%
124.59M
36.35%

All numbers in USD (except ratios and percentages)