CLEM
SE:CLEANMOTION
Clean Motion
- Stock
Last Close
0.34
25/11 09:16
Market Cap
62.81M
Beta: -
Volume Today
13.46K
Avg: -
Preview
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Dec '14 | Dec '15 | Dec '16 | Dec '17 | Dec '18 | Dec '19 | Dec '20 | Dec '21 | Dec '22 | Dec '23 | ||
---|---|---|---|---|---|---|---|---|---|---|---|
asset turnover | 0.12 - | 0.02 85.64% | 0.08 366.87% | 0.10 25.77% | 0.09 16.33% | 0.06 36.08% | 0.04 27.48% | 0.04 0.11% | 0.01 67.90% | 0.15 1,086.74% | |
cash conversion cycle | 409.28 - | 771.97 88.62% | 78.47 89.84% | 151.54 93.12% | 170.05 12.22% | 142.74 16.06% | 337.77 136.63% | 869.25 157.35% | 447.95 48.47% | 195.23 56.42% | |
cash per share | 0.00 - | 0.44 - | 0.10 78.04% | 0.03 69.95% | 0.01 55.75% | 0.03 163.20% | 0.25 624.12% | 0.27 10.03% | 0.01 94.92% | ||
company equity multiplier | 2.37 - | 3.95 66.89% | 1.85 53.28% | 2.25 21.92% | 2.86 27.04% | 3.11 8.59% | 1.35 56.55% | 1.14 15.19% | 1.14 0.37% | 1.21 6.39% | |
days of inventory outstanding | 189.33 - | 771.97 307.73% | 214.64 72.20% | 139.81 34.86% | 152.40 9.00% | 444.84 191.89% | 569.24 27.97% | 869.25 52.70% | 447.95 48.47% | 129.24 71.15% | |
days of payables outstanding | 136.17 - | 25.95 80.94% | 74.13 185.69% | 302.10 307.50% | 231.48 23.38% | ||||||
days of sales outstanding | 219.95 - | 37.68 - | 91.79 143.62% | 65.99 - | |||||||
dividend yield | |||||||||||
ebit per revenue | -0.45 - | -3.51 675.18% | -1.37 60.92% | -1.22 11.33% | -1.69 38.92% | -5.67 235.59% | 7.26 227.99% | -1.78 124.59% | -17.85 900.41% | -1.05 94.13% | |
ebt per ebit | 1.06 - | 1.32 23.67% | 1.05 19.88% | 1.09 3.75% | 1.21 10.54% | 1.75 44.96% | 0.64 63.59% | 1.08 69.31% | 1.01 6.51% | 0.86 15.09% | |
effective tax rate | -0.01 - | -0.02 45.46% | -0.00 77.29% | -0.00 54.40% | -0.43 - | 0.57 231.82% | -0.07 113.22% | -0.01 86.04% | -0.00 100.00% | ||
enterprise value multiple | -127.51 - | -97.22 23.75% | -39.89 58.97% | -30.13 24.47% | -16.39 45.60% | -3.10 81.09% | 1.77 156.97% | -13.15 844.90% | -4.85 63.10% | -15.25 214.09% | |
fixed asset turnover | 0.16 - | 0.03 84.24% | 0.16 538.29% | 0.17 4.74% | 0.14 15.98% | 0.07 53.22% | 0.04 34.38% | 0.06 31.28% | 2.34 3,958.35% | 9.43 302.86% | |
free cash flow per share | -0.25 - | -0.11 53.94% | 0.21 - | -0.16 174.12% | -0.13 20.29% | -0.07 43.91% | |||||
gross profit margin | -0.46 - | -2.52 453.25% | -0.27 89.17% | -0.11 60.83% | -0.33 210.51% | 0.12 135.29% | 0.25 113.89% | 0.67 167.01% | -1.48 322.00% | -1.05 29.27% | |
interest coverage | -12.88 - | -2.94 77.18% | -16.96 477.09% | -10.39 38.72% | -4.77 54.06% | -1.33 72.19% | 2.77 308.33% | -12.36 546.75% | -71.41 477.97% | -34.58 51.58% | |
inventory turnover | 1.93 - | 0.47 75.47% | 1.70 259.66% | 2.61 53.52% | 2.40 8.26% | 0.82 65.74% | 0.64 21.85% | 0.42 34.51% | 0.81 94.05% | 2.82 246.61% | |
long term debt to capitalization | |||||||||||
net income per ebt | 1 - | 1 0% | 1 0% | 1 0% | 1 0% | 1.43 42.96% | 0.43 69.67% | 1.07 147.88% | 1.01 5.99% | 1 1.03% | |
net profit margin | -0.48 - | -4.62 858.70% | -1.45 68.69% | -1.33 8.00% | -2.04 53.56% | -14.21 595.50% | 2.01 114.14% | -2.07 203.21% | -18.23 779.23% | -0.90 95.06% | |
operating cash flow per share | -0.25 - | -0.11 53.94% | 0.21 - | -0.16 174.12% | -0.13 20.29% | -0.07 43.91% | |||||
operating cycle | 409.28 - | 771.97 88.62% | 214.64 72.20% | 177.49 17.31% | 244.19 37.58% | 444.84 82.17% | 569.24 27.97% | 869.25 52.70% | 447.95 48.47% | 195.23 56.42% | |
operating profit margin | -0.45 - | -3.51 675.18% | -1.37 60.92% | -1.22 11.33% | -1.69 38.92% | -5.67 235.59% | 7.26 227.99% | -1.78 124.59% | -17.85 900.41% | -1.05 94.13% | |
payables turnover | 2.68 - | 14.07 424.75% | 4.92 65.00% | 1.21 75.46% | 1.58 30.51% | ||||||
pretax profit margin | -0.48 - | -4.62 858.70% | -1.45 68.69% | -1.33 8.00% | -2.04 53.56% | -9.94 386.48% | 4.63 146.60% | -1.93 141.64% | -18.04 835.28% | -0.90 95.01% | |
price fair value | 14.97 - | 19.82 32.45% | 8.07 59.28% | 8.09 0.24% | 6.60 18.44% | 2.19 66.78% | 0.69 68.42% | 1.34 93.89% | 1.19 11.36% | 1.60 34.26% | |
receivables turnover | 1.66 - | 9.69 - | 3.98 58.95% | 5.53 - | |||||||
return on assets | -0.06 - | -0.08 37.70% | -0.12 46.20% | -0.14 15.70% | -0.18 28.48% | -0.79 344.56% | 0.08 110.25% | -0.08 203.32% | -0.24 182.20% | -0.14 41.42% | |
return on capital employed | -0.06 - | -0.07 20.09% | -0.12 72.10% | -0.15 21.05% | -0.21 40.54% | -0.40 90.86% | 0.34 186.24% | -0.08 122.64% | -0.25 229.56% | -0.19 26.46% | |
return on equity | -0.14 - | -0.32 129.80% | -0.22 31.70% | -0.31 41.07% | -0.51 63.22% | -2.46 382.75% | 0.11 104.45% | -0.10 187.62% | -0.27 181.15% | -0.17 37.68% | |
total debt to capitalization | 0.02 - | 0.03 83.57% | 0.04 - |
All numbers in SEK (except ratios and percentages)