cache/860a502540184da9e1824b88309b59fd2a4b92f8feec2e10075c539289aacf23

XETRA:8S0

Slack Technologies, LLC

  • Stock

EUR

Last Close

45.16

01/01 00:00

Volume Today

67.05M

Avg: 480

PE Ratio

−78.39

PFCF: -

Preview

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Jan '17
Jan '18
Jan '19
Jan '20
Jan '21
asset turnover
0.32
-
0.33
5.70%
0.44
30.89%
0.37
15.18%
cash conversion cycle
-36.11
-
-38.52
6.69%
21.00
154.51%
56.59
169.49%
cash per share
1.04
-
1.63
55.59%
1.92
18.38%
2.80
45.45%
company equity multiplier
1.34
-
1.42
6.02%
1.99
39.80%
2.84
42.52%
days of inventory outstanding
days of payables outstanding
97.69
-
118.20
21.00%
63.44
46.33%
39.43
37.85%
days of sales outstanding
61.58
-
79.68
29.39%
84.44
5.98%
96.02
13.71%
dividend yield
ebit per revenue
-1.41
-
-0.65
53.81%
-0.38
40.98%
-0.93
142.38%
-0.31
66.39%
ebt per ebit
0.99
-
0.97
2.03%
0.90
7.53%
0.97
7.80%
1.03
7.17%
effective tax rate
-0.00
-
-0.01
439.11%
-0.01
6.85%
-0.00
82.95%
0.00
203.70%
enterprise value multiple
-161.38
-
-160.98
0.25%
-14.74
90.84%
-101.43
588.11%
fixed asset turnover
5.13
-
4.53
11.62%
2.10
53.67%
2.94
39.94%
free cash flow per share
-0.22
-
-0.11
50.40%
-0.19
76.71%
-0.16
16.81%
0.11
165.32%
gross profit margin
0.85
-
0.88
3.29%
0.87
0.97%
0.85
2.99%
0.87
2.29%
interest coverage
-7.43
-
inventory turnover
long term debt to capitalization
0.43
-
net income per ebt
1.00
-
1.01
0.51%
1.02
1.31%
1.01
1.29%
1.03
2.01%
net profit margin
-1.40
-
-0.64
54.52%
-0.35
44.70%
-0.91
157.91%
-0.33
63.26%
operating cash flow per share
-0.17
-
-0.07
60.93%
-0.08
17.03%
-0.03
60.91%
0.13
511.82%
operating cycle
61.58
-
79.68
29.39%
84.44
5.98%
96.02
13.71%
operating profit margin
-1.41
-
-0.65
53.81%
-0.38
40.98%
-0.93
142.38%
-0.31
66.39%
payables turnover
3.74
-
3.09
17.35%
5.75
86.31%
9.26
60.91%
pretax profit margin
-1.40
-
-0.63
54.75%
-0.34
45.42%
-0.90
161.29%
-0.32
63.98%
price fair value
39.07
-
23.75
39.22%
11.44
51.83%
28.12
145.80%
receivables turnover
5.93
-
4.58
22.71%
4.32
5.64%
3.80
12.06%
return on assets
-0.20
-
-0.12
41.55%
-0.40
237.57%
-0.12
68.84%
return on capital employed
-0.27
-
-0.18
34.92%
-0.64
258.63%
-0.16
74.46%
return on equity
-0.27
-
-0.17
38.03%
-0.79
371.92%
-0.35
55.59%
total debt to capitalization
0.04
-
0.44
1,000.85%

All numbers in EUR (except ratios and percentages)