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NASDAQ:RADI

Radius Global Infrastructure, Inc.

  • Stock

USD

Last Close

14.97

20/09 20:00

Market Cap

1.50B

Beta: 0.58

Volume Today

8.30M

Avg: 3.57M

PE Ratio

−8.47

PFCF: 20.21

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Dec '19
Dec '20
Dec '21
Dec '22
average inventory
985.50K
-
average payables
16.26M
-
16.37M
0.72%
2.60M
84.09%
average receivables
7.70M
-
7.88M
2.30%
8.07M
2.35%
book value per share
-1.97
-
5.17
361.79%
10.31
99.49%
6.78
34.27%
capex per share
-1.34
-
-0.00
99.74%
-6.62
192,501.22%
-0.01
99.91%
capex to depreciation
-4.10
-
-0.02
99.60%
-7.30
43,986.02%
-0.01
99.91%
capex to operating cash flow
11.89
-
0.05
99.60%
32.48
67,403.65%
0.04
99.87%
capex to revenue
-1.41
-
-0.01
99.64%
-4.54
90,079.53%
-0.00
99.91%
cash per share
1.08
-
1.08
0.65%
6.42
492.27%
2.81
56.21%
days of inventory on hand
103.53
-
days payables outstanding
1.86K
-
18.19K
880.06%
276.86
98.48%
174.28
37.05%
days sales outstanding
49.65
-
45.41
8.54%
27.95
38.46%
22.10
20.94%
debt to assets
1.11
-
0.53
51.80%
0.58
9.51%
0.63
7.53%
debt to equity
-5.12
-
1.60
131.28%
1.78
11.52%
2.43
36.05%
dividend yield
earnings yield
-0.09
-
-0.16
86.35%
-0.06
62.43%
-0.06
5.07%
enterprise value
1.04B
-
1.85B
77.91%
2.00B
8.05%
2.43B
21.56%
enterprise value over ebitda
58.07
-
-15.28
126.31%
178.71
1,269.79%
157.63
11.79%
ev to operating cash flow
-157.58
-
-280.34
77.91%
-137.70
50.88%
-185.50
34.71%
ev to sales
18.64
-
29.36
57.50%
19.26
34.38%
17.91
7.02%
free cash flow per share
-1.45
-
-0.07
94.85%
-6.83
9,013.03%
-0.15
97.87%
free cash flow yield
-0.17
-
-0.01
96.49%
-0.42
7,173.44%
-0.01
97.10%
graham net net
-9.92
-
-8.57
13.58%
-13.94
62.66%
-16.00
14.74%
graham number
5.81
-
15.56
167.66%
15.08
3.10%
10.20
32.32%
income quality
0.15
-
0.15
0%
0.21
40.36%
0.20
1.84%
intangibles to total assets
0.66
-
0.66
0.11%
0.04
93.98%
0.04
4.49%
interest coverage
-0.04
-
-5.03
12,771.72%
-1.12
77.62%
-0.95
15.37%
interest debt per share
10.65
-
8.54
19.77%
19.06
123.16%
17.17
9.95%
inventory turnover
3.53
-
invested capital
-5.12
-
1.60
131.28%
1.78
11.52%
2.43
36.05%
market cap
511.22M
-
1.18B
131.75%
1.14B
3.40%
1.11B
3.17%
net current asset value
-567.34M
-
-769.47M
35.63%
-966.43M
25.60%
-1.47B
51.93%
net debt to ebitda
29.48
-
-5.48
118.59%
76.24
1,491.54%
85.63
12.32%
net income per share
-0.76
-
-2.08
173.66%
-0.98
52.93%
-0.68
30.31%
operating cash flow per share
-0.11
-
-0.07
36.63%
-0.20
185.32%
-0.14
31.59%
payables turnover
0.20
-
0.02
89.80%
1.32
6,471.30%
2.09
58.86%
receivables turnover
7.35
-
8.04
9.33%
13.06
62.50%
16.52
26.48%
research and ddevelopement to revenue
return on tangible assets
-0.24
-
-0.39
61.45%
-0.03
91.72%
-0.03
16.34%
revenue per share
0.95
-
0.68
28.42%
1.46
113.58%
1.44
0.88%
roe
0.39
-
-0.40
204.54%
-0.10
76.41%
-0.10
6.04%
roic
-0.00
-
-0.10
3,649.37%
-0.03
74.71%
-0.03
6.36%
sales general and administrative to revenue
0.68
-
0.96
42.31%
0.86
10.80%
0.87
1.09%
shareholders equity per share
-1.97
-
5.17
361.79%
10.31
99.49%
6.78
34.27%
stock based compensation to revenue
0.17
-
-0.14
181.85%
0.15
209.85%
0.15
1.60%
tangible asset value
-464.85M
-
-405.85M
12.69%
695.24M
271.30%
590.16M
15.11%
tangible book value per share
-7.96
-
-4.40
44.67%
9.78
322.19%
6.29
35.64%
working capital
-18.84M
-
60.58M
421.47%
410.97M
578.39%
203.53M
50.48%

All numbers in USD (except ratios and percentages)