NYSE:DNMR
Danimer Scientific, Inc.
- Stock
Last Close
0.75
10/05 20:00
Market Cap
69.65M
Beta: 1.50
Volume Today
587.29K
Avg: 1.58M
PE Ratio
−0.43
PFCF: −0.68
Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|
asset turnover | 0.22 - | 0.09 61.26% | 0.07 19.16% | 0.07 6.65% | 0.06 14.44% | |
cash conversion cycle | 43.73 - | 93.09 112.86% | 176.46 89.56% | 268.65 52.25% | 235.89 12.19% | |
cash per share | 0.07 - | 12.77 17,382.79% | 3.08 75.89% | 0.67 78.08% | 0.58 14.01% | |
company equity multiplier | 8.72 - | 1.24 85.73% | 1.68 34.70% | 1.89 12.52% | 2.63 39.26% | |
days of inventory outstanding | 120.96 - | 138.79 14.74% | 155.00 11.68% | 187.82 21.17% | 111.62 40.57% | |
days of payables outstanding | 139.56 - | 107.95 22.65% | 131.14 21.49% | 85.91 34.49% | 23.37 72.79% | |
days of sales outstanding | 62.33 - | 62.24 0.14% | 152.59 145.18% | 166.74 9.27% | 147.65 11.45% | |
dividend yield | 0.06 - | 0.00 - | ||||
ebit per revenue | -0.32 - | -0.33 3.38% | -1.69 408.84% | -3.52 108.18% | -2.68 23.86% | |
ebt per ebit | 1.48 - | 0.80 46.14% | 0.74 7.64% | 0.96 30.56% | 1.24 28.65% | |
effective tax rate | -0.26 - | -0.19 28.02% | 0.18 194.68% | 0.00 97.51% | -0.00 145.83% | |
enterprise value multiple | -221.92 - | -38.98 82.44% | -8.94 77.06% | -8.66 3.14% | -4.71 45.59% | |
fixed asset turnover | 0.35 - | 0.38 7.17% | 0.18 53.31% | 0.11 35.76% | 0.10 10.64% | |
free cash flow per share | -0.45 - | -1.76 294.78% | -2.67 51.56% | -2.43 8.88% | -0.73 69.78% | |
gross profit margin | 0.34 - | 0.24 29.51% | 0.02 93.78% | -0.20 1,400.49% | -0.77 293.55% | |
interest coverage | -2.99 - | -6.48 116.62% | -130.26 1,908.94% | -1.67 98.72% | ||
inventory turnover | 3.02 - | 2.63 12.85% | 2.35 10.46% | 1.94 17.47% | 3.27 68.27% | |
long term debt to capitalization | 0.85 - | 0.11 86.72% | 0.36 222.00% | 0.45 24.27% | 0.58 28.64% | |
net income per ebt | 1.26 - | 1.19 5.87% | 0.82 31.16% | 1.00 21.47% | 1.00 0.66% | |
net profit margin | -0.60 - | -0.32 47.58% | -1.02 223.52% | -3.38 230.15% | -3.33 1.40% | |
operating cash flow per share | -0.02 - | -0.47 2,290.74% | -0.68 44.98% | -0.66 1.79% | -0.46 30.25% | |
operating cycle | 183.29 - | 201.03 9.68% | 307.60 53.01% | 354.56 15.27% | 259.26 26.88% | |
operating profit margin | -0.32 - | -0.33 3.38% | -1.69 408.84% | -3.52 108.18% | -2.68 23.86% | |
payables turnover | 2.62 - | 3.38 29.29% | 2.78 17.69% | 4.25 52.65% | 15.62 267.54% | |
pretax profit margin | -0.48 - | -0.27 44.32% | -1.25 369.97% | -3.39 171.80% | -3.32 2.05% | |
price fair value | 49.91 - | 1.58 96.83% | 1.59 0.08% | 0.44 72.17% | 0.37 15.18% | |
receivables turnover | 5.86 - | 5.86 0.14% | 2.39 59.21% | 2.19 8.48% | 2.47 12.93% | |
return on assets | -0.13 - | -0.03 79.70% | -0.07 161.54% | -0.25 252.10% | -0.21 15.64% | |
return on capital employed | -0.09 - | -0.03 66.34% | -0.12 293.75% | -0.27 118.27% | -0.18 35.79% | |
return on equity | -1.18 - | -0.03 97.10% | -0.12 252.29% | -0.48 296.20% | -0.56 17.47% | |
total debt to capitalization | 0.86 - | 0.16 81.40% | 0.36 127.64% | 0.45 24.41% | 0.58 28.10% |
All numbers in USD (except ratios and percentages)