PPK

EURONEXT:PPK

Prospect Park Capital Corp.

  • Stock

CAD

Last Close

0.01

23/07 20:00

Market Cap

827.97K

Beta: 2.21

PE Ratio

−0.90

PFCF: −2.32

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Sep '13
Sep '14
Sep '15
Sep '16
Sep '17
Sep '18
Sep '19
Sep '20
Sep '21
Sep '22
Sep '23
asset turnover
-0.36
-
-0.17
-
-0.01
94.31%
0.01
232.83%
cash per share
0.21
-
0.17
18.10%
0.02
91.16%
0.01
61.61%
0.00
63.07%
0.00
41.31%
0.00
65.32%
0.02
738.58%
company equity multiplier
1.03
-
1.25
21.88%
2.30
83.76%
-0.80
134.57%
-0.82
3.16%
-1.49
81.90%
-0.03
97.92%
2.76
8,992.50%
1.03
62.62%
days of inventory outstanding
days of payables outstanding
days of sales outstanding
-89.80
-
-32.99K
-
dividend yield
ebit per revenue
1.81
-
4.79
-
-6.05
226.26%
833.32
13,864.91%
ebt per ebit
0.96
-
1
4.71%
4.10
309.98%
1.11
73.04%
10.36
837.36%
-1.90
118.33%
-0.66
65.50%
1.01
253.72%
effective tax rate
0.05
-
-0.76
-
-0.19
75.04%
-0.00
99.99%
-0.73
5,783,809.40%
0.16
121.70%
-0.01
104.55%
enterprise value multiple
-2.80
-
-1.99
28.99%
0.61
130.70%
-1.91
412.53%
38.00
2,092.20%
4.67
87.71%
-9.99
313.82%
-11.21
12.26%
fixed asset turnover
free cash flow per share
-0.03
-
-0.04
33.22%
-0.05
13.40%
-0.00
90.14%
-0.00
33.34%
-0.00
74.41%
-0.02
2,354.25%
-0.01
25.52%
gross profit margin
1
-
1
-
1
0%
1
0%
interest coverage
-204.03
-
-9.61
-
-137.44
1,330.62%
inventory turnover
long term debt to capitalization
net income per ebt
1
-
1
0%
1
0%
1.19
18.87%
1.00
15.87%
1.73
73.18%
1
42.26%
1.01
0.72%
net profit margin
1.81
-
6.30
-
-62.72
1,095.63%
-2.74K
4,270.17%
operating cash flow per share
-0.03
-
-0.04
33.22%
-0.05
13.40%
-0.00
90.14%
-0.00
33.34%
-0.00
74.41%
-0.02
2,354.25%
-0.01
25.52%
operating profit margin
1.81
-
4.79
-
-6.05
226.26%
833.32
13,864.91%
payables turnover
pretax profit margin
1.81
-
5.30
-
-62.72
1,283.47%
-1.58K
2,423.42%
price fair value
2.24
-
3.03
35.34%
-1.20
139.65%
-1.72
43.23%
-3.47
101.43%
-1.63
53.16%
8.74
637.71%
3.52
59.75%
receivables turnover
-4.06
-
-0.01
-
return on assets
-0.29
-
-0.64
124.54%
-3.96
514.55%
-1.10
72.19%
0.62
156.66%
-36.23
5,904.75%
0.23
100.64%
-0.27
216.62%
return on capital employed
-0.38
-
-1.48
294.06%
0.77
151.81%
0.69
10.48%
-0.09
113.07%
-0.34
279.91%
-0.97
185.39%
-0.27
71.84%
return on equity
-0.36
-
-1.48
312.62%
3.15
312.42%
0.90
71.31%
-0.93
203.05%
1.12
220.62%
0.64
43.15%
-0.28
143.59%
total debt to capitalization
0.54
-

All numbers in CAD (except ratios and percentages)