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EURONEXT:ALVIO

Valerio Therapeutics Société anonyme

  • Stock

EUR

Last Close

0.10

26/07 15:35

Market Cap

15.49M

Beta: 1.63

Volume Today

22.25K

Avg: 76.64K

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
asset turnover
0.08
-
0.15
75.73%
0.03
81.45%
0.04
31.25%
0.12
244.27%
0.10
20.43%
0.11
17.64%
0.04
66.49%
0.08
100.45%
0.03
56.25%
0.05
52.37%
cash conversion cycle
-5.02K
-
-9.70K
93.24%
-5.96K
38.55%
-4.44K
25.55%
-3.41K
23.09%
-6.96K
103.92%
-3.29K
52.66%
-519.12
84.24%
-2.81K
441.09%
-2.45K
12.81%
-430.89
82.41%
cash per share
0.54
-
1.40
157.69%
0.83
40.95%
0.62
25.42%
0.28
54.70%
0.21
24.98%
0.08
61.83%
0.20
149.44%
0.20
1.47%
0.05
-
company equity multiplier
2.39
-
1.25
47.76%
1.26
0.88%
1.33
5.76%
1.57
17.74%
1.39
11.01%
2.19
57.07%
1.60
26.80%
1.61
0.57%
1.93
20.11%
2.38
23.15%
days of inventory outstanding
4.34
-
95.59
2,100.65%
114.81
20.10%
102.53
10.69%
17.27
83.16%
79.79
361.98%
66.74
16.35%
0.00
-
days of payables outstanding
6.29K
-
9.79K
55.58%
6.89K
29.63%
5.15K
25.23%
3.43K
33.45%
7.04K
105.22%
3.83K
45.58%
519.12
86.44%
2.81K
441.09%
2.45K
12.81%
1.68K
31.27%
days of sales outstanding
1.27K
-
817.42
-
613.83
24.91%
469.10
-
1.25K
-
dividend yield
0.22
-
0.08
63.35%
ebit per revenue
-10.52
-
-0.03
99.73%
-6.37
22,726.34%
-5.24
17.77%
-2.02
61.45%
-2.55
26.47%
-2.28
10.54%
-4.40
92.63%
-1.37
68.77%
-11.86
763.10%
-10.59
10.76%
ebt per ebit
0.99
-
9.01
807.54%
0.98
89.10%
0.95
2.77%
3.48
265.21%
0.71
79.53%
3.68
416.08%
-0.24
106.42%
1.19
605.07%
1.13
5.67%
1.07
5.26%
effective tax rate
-0.04
-
-0.39
837.05%
0.11
127.91%
-0.03
123.68%
0.12
555.42%
0.16
35.26%
0.06
59.13%
0.41
535.84%
-0.02
103.66%
-0.01
1.46%
-0.00
94.34%
enterprise value multiple
0.38
-
-12.94
3,508.67%
0.96
107.39%
0.56
41.66%
0.01
97.40%
-10.84
74,956.68%
2.96
127.28%
-1.39
146.94%
-4.23
204.41%
0.26
106.23%
-1.32
602.18%
fixed asset turnover
1.61
-
31.04
1,822.12%
4.14
86.66%
6.20
49.86%
27.63
345.32%
20.70
25.09%
1.52
92.67%
0.69
54.30%
1.82
161.94%
0.76
57.89%
1.18
53.95%
free cash flow per share
-0.68
-
-0.19
72.13%
-0.57
202.46%
-0.38
33.04%
-0.56
44.89%
-0.21
62.02%
-0.11
48.61%
-0.07
39.12%
-0.10
49.61%
-0.14
-
gross profit margin
0.82
-
0.99
20.60%
0.90
8.65%
0.85
5.68%
0.93
9.55%
0.96
3.39%
0.92
4.82%
-0.09
110.18%
0.91
1,072.95%
0.64
29.21%
0.70
9.33%
interest coverage
-53.74
-
-0.19
99.64%
-18.40
9,347.20%
-53.02
188.08%
-17.16
67.63%
-15.09
12.11%
-9.44
37.39%
-8.15
13.73%
-3.29
59.61%
-7.82
137.56%
inventory turnover
84.03
-
3.82
95.46%
3.18
16.74%
3.56
11.97%
21.13
493.67%
4.57
78.35%
5.47
19.55%
533K
-
long term debt to capitalization
0.00
-
0.01
53.29%
0.01
3.18%
0.01
62.20%
0.13
1,062.51%
0.30
137.53%
0.13
57.36%
0.26
99.42%
0.28
10.15%
0.32
12.77%
net income per ebt
1
-
1.39
38.74%
0.89
35.72%
1.03
14.99%
0.88
13.86%
0.84
4.66%
0.94
11.07%
0.59
36.97%
0.89
51.10%
1.01
13.93%
1.00
1.39%
net profit margin
-10.45
-
-0.35
96.66%
-5.57
1,498.72%
-5.12
8.06%
-6.21
21.27%
-1.53
75.32%
-7.87
412.75%
0.61
107.80%
-1.46
338.36%
-13.56
827.51%
-11.30
16.63%
operating cash flow per share
-0.68
-
-0.19
72.04%
-0.57
199.32%
-0.37
34.35%
-0.55
49.03%
-0.21
62.09%
-0.11
48.57%
-0.06
40.43%
-0.10
50.97%
-0.14
-
operating cycle
1.28K
-
95.59
92.51%
932.23
875.23%
716.37
23.16%
17.27
97.59%
79.79
361.98%
535.85
571.56%
1.25K
-
operating profit margin
-10.52
-
-0.03
99.73%
-6.37
22,726.34%
-5.24
17.77%
-2.02
61.45%
-2.55
26.47%
-2.28
10.54%
-4.40
92.63%
-1.37
68.77%
-11.86
763.10%
-10.59
10.76%
payables turnover
0.06
-
0.04
35.72%
0.05
42.11%
0.07
33.74%
0.11
50.26%
0.05
51.27%
0.10
83.76%
0.70
637.67%
0.13
81.52%
0.15
14.69%
0.22
45.50%
pretax profit margin
-10.45
-
-0.25
97.59%
-6.25
2,387.14%
-5.00
20.05%
-7.03
40.79%
-1.82
74.11%
-8.41
361.66%
1.04
112.37%
-1.64
257.75%
-13.36
714.12%
-11.29
15.45%
price fair value
0.76
-
0.09
88.05%
0.11
18.65%
0.14
26.77%
0.28
103.30%
0.32
15.42%
1.12
250.84%
0.68
39.59%
0.72
6.98%
1.51
-
receivables turnover
0.29
-
0.45
-
0.59
33.17%
0.78
-
0.29
-
return on assets
-0.86
-
-0.05
94.13%
-0.15
196.52%
-0.18
20.67%
-0.76
317.50%
-0.15
80.36%
-0.90
503.18%
0.02
102.61%
-0.11
577.81%
-0.45
305.79%
-0.58
27.03%
return on capital employed
-1.41
-
-0.00
99.69%
-0.19
4,120.15%
-0.21
9.99%
-0.32
57.57%
-0.29
11.97%
-0.31
9.27%
-0.19
38.02%
-0.12
37.17%
-0.48
292.47%
-0.79
65.70%
return on equity
-2.06
-
-0.06
96.94%
-0.19
199.13%
-0.24
27.62%
-1.18
391.55%
-0.21
82.52%
-1.96
847.40%
0.04
101.91%
-0.18
580.54%
-0.88
387.39%
-1.37
56.44%
total debt to capitalization
0.01
-
0.02
45.30%
0.01
56.77%
0.01
2.99%
0.01
71.68%
0.13
898.39%
0.33
142.03%
0.18
45.45%
0.31
74.56%
0.31
0.74%
0.37
18.59%

All numbers in EUR (except ratios and percentages)