NASDAQ:TALK
Talkspace, Inc.
- Stock
Last Close
2.85
15/05 20:00
Market Cap
370.95M
Beta: 1.02
Volume Today
755.13K
Avg: 334.52K
PE Ratio
−10.97
PFCF: −13.63
Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|
asset turnover | 2.32 - | 0.51 78.07% | 0.77 50.53% | 1.06 37.87% | ||
cash conversion cycle | -81.10 - | -40.12 50.53% | -10.39 74.11% | -4.73 54.47% | ||
cash per share | 32.00 - | 2.28 92.86% | 0.88 61.35% | 0.75 14.98% | ||
company equity multiplier | -0.33 - | 1.16 449.88% | 1.23 5.35% | 1.20 2.16% | ||
days of inventory outstanding | ||||||
days of payables outstanding | 109.43 - | 57.82 47.17% | 39.82 31.13% | 29.48 25.96% | ||
days of sales outstanding | 28.33 - | 17.70 37.53% | 29.43 66.27% | 24.75 15.90% | ||
dividend yield | ||||||
ebit per revenue | -0.77 - | -0.29 62.57% | -0.83 186.39% | -0.64 22.04% | -0.15 75.99% | |
ebt per ebit | 0.99 - | 1.02 2.88% | 0.67 34.34% | 1.03 54.47% | 0.82 20.75% | |
effective tax rate | -0.00 - | -0.00 290.38% | -0.00 30.20% | -0.00 326.63% | -0.01 259.43% | |
enterprise value multiple | -6.07 - | 0.30 104.89% | 0.62 107.25% | -13.41 2,279.43% | ||
fixed asset turnover | 435.37 - | 182.17 58.16% | 176.61 3.05% | 477.85 170.56% | ||
free cash flow per share | -1.60 - | -1.22 23.86% | -0.76 37.08% | -0.39 48.81% | -0.10 74.40% | |
gross profit margin | 0.53 - | 0.65 24.02% | 0.59 10.20% | 0.50 14.09% | 0.50 1.77% | |
interest coverage | -20.59 - | |||||
inventory turnover | ||||||
long term debt to capitalization | ||||||
net income per ebt | 1.00 - | 1.00 0.08% | 1.00 0.03% | 1.00 0.24% | 1.01 0.83% | |
net profit margin | -0.76 - | -0.29 61.46% | -0.55 87.99% | -0.67 20.72% | -0.13 80.81% | |
operating cash flow per share | -1.59 - | -1.14 28.39% | -0.76 33.34% | -0.39 48.59% | -0.10 74.49% | |
operating cycle | 28.33 - | 17.70 37.53% | 29.43 66.27% | 24.75 15.90% | ||
operating profit margin | -0.77 - | -0.29 62.57% | -0.83 186.39% | -0.64 22.04% | -0.15 75.99% | |
payables turnover | 3.34 - | 6.31 89.27% | 9.17 45.21% | 12.38 35.07% | ||
pretax profit margin | -0.76 - | -0.29 61.49% | -0.55 88.05% | -0.66 20.43% | -0.13 80.97% | |
price fair value | -1.46 - | 0.89 160.89% | 0.75 15.56% | 3.53 370.63% | ||
receivables turnover | 12.88 - | 20.62 60.08% | 12.40 39.86% | 14.75 18.90% | ||
return on assets | -0.68 - | -0.28 58.77% | -0.51 81.72% | -0.13 73.55% | ||
return on capital employed | -1.78 - | -0.48 73.06% | -0.60 24.94% | -0.19 67.78% | ||
return on equity | 0.23 - | -0.33 244.27% | -0.62 91.44% | -0.16 74.12% | ||
total debt to capitalization | -0.06 - | 0.05 176.00% |
All numbers in USD (except ratios and percentages)