EPY

EURONEXT:EPY

ePlay Digital Inc.

  • Stock

USD

Last Close

0.01

10/07 17:48

Market Cap

989.66K

Beta: 1.44

PE Ratio

−3.59

PFCF: −7.57

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
asset turnover
0.01
-
0.13
2,187.58%
0.09
28.82%
0.30
226.84%
0.95
215.50%
0.06
93.53%
0.99
1,502.69%
cash conversion cycle
2.82K
-
64.00
97.73%
39.73
37.92%
88.54
-
cash per share
0.01
-
0.00
98.96%
0.00
574.59%
0.00
32.95%
0.00
344.64%
0.00
81.07%
0.00
96.26%
0.01
31,089.44%
0.00
95.42%
company equity multiplier
1
-
1.28
27.93%
-0.00
100.06%
2.78
382,411.01%
24.29
775.24%
2.73
88.78%
-0.06
102.29%
-0.04
34.34%
-0.82
1,906.12%
-0.04
95.44%
days of inventory outstanding
days of payables outstanding
days of sales outstanding
2.82K
-
64.00
97.73%
39.73
37.92%
567.03
1,327.16%
310.49
45.24%
88.54
71.48%
135.75
53.32%
dividend yield
ebit per revenue
-66.10
-
-2.44
96.31%
-3.34
36.65%
-44.37
1,229.70%
-6.62
85.09%
-38.61
483.59%
-13.14
65.96%
ebt per ebit
1
-
1.00
0.19%
0.48
51.81%
2.39
395.77%
0.65
72.73%
2.70
313.47%
0.91
66.22%
2.83
209.89%
1.01
64.38%
effective tax rate
-0.64
-
1.08
268.01%
-0.58
153.80%
0.54
193.33%
0.00
99.46%
-0.04
1,580.89%
0.00
107.36%
0.03
695.43%
enterprise value multiple
-41.55
-
-5.04
87.87%
-6.88
36.42%
-17.92
160.68%
-6.98
61.03%
-3.10
55.68%
-10.56
241.24%
-5.84
44.67%
-3.89
33.47%
fixed asset turnover
free cash flow per share
-0.02
-
-0.08
379.03%
-0.06
30.07%
-0.01
80.29%
-0.01
25.90%
-0.01
32.70%
-0.00
89.09%
-0.01
624.20%
-0.01
31.82%
gross profit margin
1.00
-
0.97
2.72%
0.98
1.51%
1
1.52%
1
0%
0.88
12.16%
1
13.84%
interest coverage
-524.06
-
-581.24
10.91%
-191.70
67.02%
-154.42
19.45%
-275.45
78.38%
-53.66
80.52%
-332.11
518.88%
-186.95
43.71%
inventory turnover
long term debt to capitalization
0.61
-
0.94
52.68%
0.60
35.48%
-6.44
1,168.21%
-10.66
65.43%
2.50
123.47%
-0.03
101.12%
net income per ebt
1
-
1
0%
1.00
0.22%
1.00
0.14%
1.00
0.18%
1.00
0.39%
1.04
4.60%
1.00
4.43%
0.97
2.21%
net profit margin
-31.85
-
-5.84
81.66%
-2.18
62.67%
-119.43
5,376.52%
-6.29
94.73%
-108.75
1,628.44%
-12.90
88.14%
operating cash flow per share
-0.02
-
-0.08
379.03%
-0.06
30.07%
-0.01
80.29%
-0.01
25.90%
-0.01
30.03%
-0.00
88.87%
-0.01
624.20%
-0.01
31.82%
operating cycle
2.82K
-
64.00
97.73%
39.73
37.92%
88.54
-
operating profit margin
-66.10
-
-2.44
96.31%
-3.34
36.65%
-44.37
1,229.70%
-6.62
85.09%
-38.61
483.59%
-13.14
65.96%
payables turnover
pretax profit margin
-31.92
-
-5.85
81.68%
-2.18
62.73%
-119.78
5,397.93%
-6.03
94.96%
-109.10
1,708.51%
-13.23
87.87%
price fair value
21.92
-
-5.95
127.14%
5.53
193.05%
114.23
1,963.97%
4.45
96.11%
-1.71
138.47%
-1.77
3.50%
-10.50
492.62%
-1.01
90.35%
receivables turnover
0.13
-
5.70
4,303.55%
9.19
61.08%
0.64
92.99%
1.18
82.62%
4.12
250.69%
2.69
34.78%
return on assets
-0.41
-
-4.63K
1,133,875.72%
-0.18
100.00%
-0.76
319.56%
-0.20
73.43%
-35.94
17,799.49%
-5.97
83.38%
-6.68
11.90%
-12.70
90.04%
return on capital employed
-0.52
-
3.36
742.36%
-0.41
112.23%
-0.52
27.24%
-0.34
34.39%
4.46
1,400.49%
1.82
59.10%
-3.61
298.25%
0.46
112.80%
return on equity
-0.52
-
3.36
743.58%
-0.50
114.87%
-18.36
3,572.16%
-0.55
97.02%
2.25
510.43%
0.25
89.09%
5.50
2,144.77%
0.48
91.34%
total debt to capitalization
-0.12
-
0.61
619.46%
0.95
55.43%
0.61
36.50%
-8.46
1,496.01%
-13.83
63.43%
2.45
117.69%
-8.00
426.87%

All numbers in USD (except ratios and percentages)