bf/NASDAQ:SDC_icon.jpeg

NASDAQ:SDC

SmileDirectClub, Inc.

  • Stock

USD

Last Close

0.16

03/10 20:00

Market Cap

29.11M

Beta: 2.11

Volume Today

63.40M

Avg: 1.16M

PE Ratio

−0.04

PFCF: −0.17

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
asset turnover
2.20
-
0.76
65.32%
0.85
11.15%
0.74
12.39%
0.80
8.11%
0.79
1.75%
cash conversion cycle
54.77
-
53.39
2.52%
46.32
13.24%
109.95
137.37%
148.57
35.12%
146.38
1.47%
cash per share
0.01
-
0.82
7,611.35%
3.11
281.11%
2.88
7.25%
1.90
34.11%
0.77
59.60%
company equity multiplier
-1.96
-
-6.14
212.97%
2.63
142.76%
2.87
9.41%
4.63
61.32%
5.36
15.68%
days of inventory outstanding
15.53
-
23.92
54.08%
37.71
57.63%
51.61
36.85%
83.86
62.49%
113.38
35.21%
days of payables outstanding
45.14
-
68.79
52.41%
107.84
56.76%
65.02
39.71%
40.94
37.03%
77.94
90.36%
days of sales outstanding
84.38
-
98.26
16.45%
116.45
18.51%
123.36
5.94%
105.65
14.36%
110.94
5.01%
dividend yield
0.01
-
0.20
-
ebit per revenue
-0.21
-
-0.11
48.49%
-0.65
506.95%
-0.28
56.89%
-0.40
41.45%
-0.51
28.60%
ebt per ebit
1.07
-
1.63
52.59%
1.09
33.12%
1.49
36.29%
1.32
11.57%
1.15
12.28%
effective tax rate
-0.00
-
-0.00
23.75%
-0.00
12.71%
-0.01
167.70%
-0.00
66.55%
0.00
160.79%
enterprise value multiple
-230.89
-
-120.72
47.71%
-1.70
98.59%
-11.21
560.41%
-4.33
61.38%
-4.93
14.00%
fixed asset turnover
12.27
-
8.05
34.37%
4.23
47.52%
2.97
29.74%
2.53
14.84%
2.23
11.88%
free cash flow per share
-0.10
-
-0.41
288.70%
-4.29
954.32%
-1.64
61.66%
-2.10
27.42%
-1.73
17.34%
gross profit margin
0.56
-
0.68
21.74%
0.76
11.53%
0.69
10.13%
0.72
5.32%
0.70
3.47%
interest coverage
-14.20
-
-3.32
76.59%
-31.16
837.40%
-4.11
86.81%
-10.97
166.94%
-13.43
22.39%
inventory turnover
23.51
-
15.26
35.10%
9.68
36.56%
7.07
26.93%
4.35
38.46%
3.22
26.04%
long term debt to capitalization
22.94
-
2.87
87.51%
0.34
88.16%
0.58
70.21%
0.81
41.00%
0.89
8.85%
net income per ebt
1.00
-
1.00
0.09%
1.00
0.06%
1.01
0.71%
1.00
0.75%
1.00
0.61%
net profit margin
-0.22
-
-0.18
21.33%
-0.72
305.66%
-0.42
40.83%
-0.53
24.14%
-0.59
12.12%
operating cash flow per share
-0.08
-
-0.30
279.23%
-3.25
990.51%
-0.76
76.61%
-1.20
57.18%
-1.30
9.05%
operating cycle
99.91
-
122.18
22.30%
154.16
26.17%
174.97
13.50%
189.51
8.31%
224.32
18.37%
operating profit margin
-0.21
-
-0.11
48.49%
-0.65
506.95%
-0.28
56.89%
-0.40
41.45%
-0.51
28.60%
payables turnover
8.09
-
5.31
34.39%
3.38
36.21%
5.61
65.86%
8.91
58.80%
4.68
47.47%
pretax profit margin
-0.22
-
-0.18
21.41%
-0.71
305.91%
-0.42
41.25%
-0.52
25.08%
-0.59
12.81%
price fair value
-189.51
-
-70.94
62.57%
2.65
103.74%
4.26
60.43%
1.62
61.91%
0.38
76.35%
receivables turnover
4.33
-
3.71
14.12%
3.13
15.62%
2.96
5.60%
3.45
16.76%
3.29
4.77%
return on assets
-0.49
-
-0.13
72.72%
-0.61
350.90%
-0.31
48.17%
-0.42
34.21%
-0.47
10.16%
return on capital employed
-14.40
-
-0.10
99.28%
-0.72
590.40%
-0.26
63.13%
-0.41
55.57%
-0.50
21.84%
return on equity
0.97
-
0.83
14.61%
-1.59
292.81%
-0.90
43.29%
-1.96
116.50%
-2.49
27.44%
total debt to capitalization
3.01
-
2.36
21.62%
0.38
83.83%
0.59
53.45%
0.82
39.23%
0.89
8.55%

All numbers in USD (except ratios and percentages)