[{"group": "Scores", "metric": "Fundamental Advice (Fund. Advice)", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_131-35", "period": "year", "isPrimary":true, "description": "Numeric representation on the Uncle Stock advice which is based on Uncle Stock score and Uncle's expected price yield (target price). Is a number between 1 (Strong Sell) and 5 (Strong Buy). Can be complemented with the Urgency parameter.", "min": 0.0, "max": 4.0, "good": 3.9, "bad": 2.1, "smallIsGood": false}, {"group": "Scores", "metric": "Urgency", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_132-35", "period": "year", "isPrimary":true, "description": "Numeric trading indicator based on expected price yield and reversal. 0 wait 1 neutral 2 is act. Should be used in combination with the Fundamental advice."}, {"group": "Scores", "metric": "Uncle Stock score", "isFinancialResult":false, "submetric": "", "id": "id_73-27", "period": "year", "isPrimary":true, "description": "Score up to 100 based on a broad selection of financial ratios combining tenets of both growth investing and value investing to look for Growth At A Reasonable Price (GARP)", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Uncle Stock score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_73-15", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios combining tenets of both growth investing and value investing to look for Growth At A Reasonable Price (GARP)", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Uncle Stock score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_73-189", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios combining tenets of both growth investing and value investing to look for Growth At A Reasonable Price (GARP)", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Quality score", "isFinancialResult":false, "submetric": "", "id": "id_76-27", "period": "year", "isPrimary":true, "description": "Score up to 100 measuring how good the company is in terms of efficiency and potential for continued growth.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Quality score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_76-15", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring how good the company is in terms of efficiency and potential for continued growth.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Quality score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_76-189", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring how good the company is in terms of efficiency and potential for continued growth.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Predictability score", "isFinancialResult":false, "submetric": "", "id": "id_191-27", "period": "year", "isPrimary":true, "description": "Score up to 100 measuring the predictability of the earnings growth.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Predictability score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_191-15", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring the predictability of the earnings growth.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Predictability score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_191-189", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring the predictability of the earnings growth.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Value score", "isFinancialResult":false, "submetric": "", "id": "id_71-27", "period": "year", "isPrimary":true, "description": "Score up to 100 measuring value by comparing price to income and assets and financial health.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Value score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_71-15", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring value by comparing price to income and assets and financial health.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Value score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_71-189", "period": "year", "isPrimary":false, "description": "Score up to 100 measuring value by comparing price to income and assets and financial health.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Trap score", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_496-35", "period": "year", "isPrimary":true, "description": "Score 0-13 to measure the probability of being a value trap. Value traps are investments that are trading at low levels and present as buying opportunities but are actually misleading.", "min": 0.0, "max": 12.0, "good": 3.0, "bad": 5.0, "smallIsGood": true}, {"group": "Scores", "metric": "Yield score", "isFinancialResult":false, "submetric": "", "id": "id_86-27", "period": "year", "isPrimary":true, "description": "Score up to 100 based on a broad selection of financial ratios measuring how cheap a stock is based on its income.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Yield score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_86-15", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring how cheap a stock is based on its income.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Yield score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_86-189", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring how cheap a stock is based on its income.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Balance score", "isFinancialResult":false, "submetric": "", "id": "id_87-27", "period": "year", "isPrimary":true, "description": "Score up to 100 based on a broad selection of financial ratios measuring price versus assets and financial health.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Balance score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_87-15", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring price versus assets and financial health.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Balance score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_87-189", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring price versus assets and financial health.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Asset value score", "isFinancialResult":false, "submetric": "", "id": "id_173-27", "period": "year", "isPrimary":true, "description": "Score up to 100 based on a selection of financial ratios measuring price versus assets.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Asset value score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_173-15", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a selection of financial ratios measuring price versus assets.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Asset value score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_173-189", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a selection of financial ratios measuring price versus assets.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Financial health score", "isFinancialResult":false, "submetric": "", "id": "id_172-27", "period": "year", "isPrimary":true, "description": "Score up to 100 based on a broad selection of financial ratios measuring financial health.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Financial health score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_172-15", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring financial health.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Financial health score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_172-189", "period": "year", "isPrimary":false, "description": "Score up to 100 based on a broad selection of financial ratios measuring financial health.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Growth rate", "isFinancialResult":false, "submetric": "", "id": "id_72-1", "period": "year", "isPrimary":true, "description": "A company's annual growth based on income and balance evolution.", "min": "-60%", "max": "50%", "good": "25%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Growth rate", "isFinancialResult":false, "submetric": "next yr est", "id": "id_72-67", "period": "year", "isPrimary":false, "description": "A company's annual growth based on income and balance evolution.", "subDesc": "Next year growth estimate", "min": "-15%", "max": "15%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Growth rate", "isFinancialResult":false, "submetric": "next 5 yrs est", "id": "id_72-68", "period": "year", "isPrimary":false, "description": "A company's annual growth based on income and balance evolution.", "subDesc": "Next five years annual growth estimate", "min": "-15%", "max": "15%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Slater score", "isFinancialResult":false, "submetric": "", "id": "id_82-27", "period": "year", "isPrimary":true, "description": "Score up to 100 focussing on finding small growth stocks before they hit the big time.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Slater score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_82-15", "period": "year", "isPrimary":false, "description": "Score up to 100 focussing on finding small growth stocks before they hit the big time.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Slater score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_82-189", "period": "year", "isPrimary":false, "description": "Score up to 100 focussing on finding small growth stocks before they hit the big time.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Greenblatt score", "isFinancialResult":false, "submetric": "", "id": "id_74-1", "period": "year", "isPrimary":true, "description": "Score based on Greenblatt's Magic Formula parameters.", "formula": "average(ln(Return on Capital Employed) ln(7 EBIT yield)", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "ERP5", "isFinancialResult":false, "submetric": "", "id": "id_306-1", "period": "year", "isPrimary":true, "description": "Score based on the ERP5 score as designed by the MFIE Capital team. It combines the Greenblatt Magic formula with ideas developed by Graham & Dodd.", "formula": "average(ln(7 EBIT yield) ln(Return on Capital Employed) ln(Return on Capital Employed.5y avg) ln(0.7 Book to Market)", "min": "-300%", "max": "300%", "good": "90%", "bad": "30%", "smallIsGood": false}, {"group": "Scores", "metric": "Piotroski score", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_75-35", "period": "year", "isPrimary":true, "description": "Strength of a firm's financial position. Score 0-9 based on Piotroski's 9 fundamental indicators. (Decimals and percentages are a refinement of the F-Score)", "min": 0.0, "max": 10.0, "good": 7.0, "bad": 3.0, "smallIsGood": false}, {"group": "Scores", "metric": "Piotroski score", "isFinancialResult":false, "submetric": "5y avg", "id": "id_75-74", "period": "year", "isPrimary":false, "description": "Strength of a firm's financial position. Score 0-9 based on Piotroski's 9 fundamental indicators. (Decimals and percentages are a refinement of the F-Score)", "subDesc": "Average of the last 5 year ratios."}, {"group": "Scores", "metric": "Piotroski score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_75-15", "period": "year", "isPrimary":false, "description": "Strength of a firm's financial position. Score 0-9 based on Piotroski's 9 fundamental indicators. (Decimals and percentages are a refinement of the F-Score)", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Piotroski score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_75-189", "period": "year", "isPrimary":false, "description": "Strength of a firm's financial position. Score 0-9 based on Piotroski's 9 fundamental indicators. (Decimals and percentages are a refinement of the F-Score)", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "G score", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_366-35", "period": "year", "isPrimary":true, "description": "Partha Mohanram's G-Score 0-7 seeks to separate out the winning growth/glamour stocks from the fallen stars.", "min": 0.0, "max": 8.0, "good": 6.0, "bad": 2.0, "smallIsGood": false}, {"group": "Scores", "metric": "G score", "isFinancialResult":false, "submetric": "", "id": "id_366-27", "period": "year", "isPrimary":false, "description": "Partha Mohanram's G-Score 0-7 seeks to separate out the winning growth/glamour stocks from the fallen stars.", "min": "0%", "max": "100%", "good": "71%", "bad": "27%", "smallIsGood": false}, {"group": "Scores", "metric": "G score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_366-15", "period": "year", "isPrimary":false, "description": "Partha Mohanram's G-Score 0-7 seeks to separate out the winning growth/glamour stocks from the fallen stars.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "G score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_366-189", "period": "year", "isPrimary":false, "description": "Partha Mohanram's G-Score 0-7 seeks to separate out the winning growth/glamour stocks from the fallen stars.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Levermann score", "isFinancialResult":false, "submetric": "Numerical score", "id": "id_119-35", "period": "year", "isPrimary":true, "description": "Score -12..13 based on Susan Levermann's scoring model using Fundamental Valuation Psychological and Technical criteria. (Decimals and percentages are a refinement of the Levermann rating)", "min": -12.0, "max": 13.0, "good": 7.0, "bad": 2.0, "smallIsGood": false}, {"group": "Scores", "metric": "Levermann score", "isFinancialResult":false, "submetric": "", "id": "id_119-27", "period": "year", "isPrimary":false, "description": "Score -12..13 based on Susan Levermann's scoring model using Fundamental Valuation Psychological and Technical criteria. (Decimals and percentages are a refinement of the Levermann rating)", "min": "0%", "max": "100%", "good": "71%", "bad": "27%", "smallIsGood": false}, {"group": "Scores", "metric": "Levermann score", "isFinancialResult":false, "submetric": "1y growth", "id": "id_119-15", "period": "year", "isPrimary":false, "description": "Score -12..13 based on Susan Levermann's scoring model using Fundamental Valuation Psychological and Technical criteria. (Decimals and percentages are a refinement of the Levermann rating)", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Levermann score", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_119-189", "period": "year", "isPrimary":false, "description": "Score -12..13 based on Susan Levermann's scoring model using Fundamental Valuation Psychological and Technical criteria. (Decimals and percentages are a refinement of the Levermann rating)", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "O'Shaughnessy Value Composites Three (O'Shaughnessy VC3)", "isFinancialResult":false, "submetric": "", "id": "id_584-27", "period": "year", "isPrimary":true, "description": "This factor is interesting for investors who're looking for stocks with the best value characteristics but are indifferent to whether these companies pay a dividend.", "min": "0%", "max": "100%", "good": "73%", "bad": "28%", "smallIsGood": false}, {"group": "Scores", "metric": "Altman Z-score", "isFinancialResult":false, "submetric": "score", "id": "id_103-48", "period": "year", "isPrimary":true, "description": "The formula may be used to predict the probability that a firm will go into bankruptcy within two years. Uses multiple corporate income and balance sheet values to measure the financial health of a company. Distress zone 1.81 2.99 Safe zone.", "formula": "1.2 Net Working Capital/ Total Assets 1.4 Retained earnings / Assets 3.3 EBIT Return on Assets 0.6 Price/ Liabilities 0.999 Asset Turnover", "min": 0.0, "max": 10.0, "good": 2.99, "bad": 1.81, "smallIsGood": false}, {"group": "Scores", "metric": "Altman Z-score", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_103-16", "period": "year", "isPrimary":false, "description": "The formula may be used to predict the probability that a firm will go into bankruptcy within two years. Uses multiple corporate income and balance sheet values to measure the financial health of a company. Distress zone 1.81 2.99 Safe zone.", "formula": "1.2 Net Working Capital/ Total Assets 1.4 Retained earnings / Assets 3.3 EBIT Return on Assets 0.6 Price/ Liabilities 0.999 Asset Turnover", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Scores", "metric": "Ohlson O-Score", "isFinancialResult":false, "submetric": "prob ", "id": "id_175-93", "period": "year", "isPrimary":false, "description": "Probability for predicting bankruptcy based on a multi-factor financial formula postulated in 1980 by Dr. James Ohlson as an alternative to the Altman Z-score for predicting financial distress. Any results larger than 50 suggests that the firm will default within two years.", "formula": "logistic(-1.32 - 0.407 log(Total assets / GNP) 6.03 Debt ratio - 1.43 Net Working Capital/ Total Assets 0.0757 / Current ratio - 1.72 (Debt ratio 1) - 2.73 Return on Assets - 1.83 Cash flow coverage Ratio 0.285 (Net income from continuing operations 2y pos) - 0.521 (relative difference of Net income from continuing operations))", "subDesc": "Logistic function. 1 / (1 exp(-x))", "min": "0%", "max": "100%", "good": "6%", "bad": "29%", "smallIsGood": true}, {"group": "Scores", "metric": "Ohlson O-Score", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_175-16", "period": "year", "isPrimary":false, "description": "Probability for predicting bankruptcy based on a multi-factor financial formula postulated in 1980 by Dr. James Ohlson as an alternative to the Altman Z-score for predicting financial distress. Any results larger than 50 suggests that the firm will default within two years.", "formula": "logistic(-1.32 - 0.407 log(Total assets / GNP) 6.03 Debt ratio - 1.43 Net Working Capital/ Total Assets 0.0757 / Current ratio - 1.72 (Debt ratio 1) - 2.73 Return on Assets - 1.83 Cash flow coverage Ratio 0.285 (Net income from continuing operations 2y pos) - 0.521 (relative difference of Net income from continuing operations))", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Scores", "metric": "Allen Risky Darlings Rating (Risky Darlings)", "isFinancialResult":false, "submetric": "prob ", "id": "id_220-93", "period": "year", "isPrimary":false, "description": "Variant of the Ohlson-O score (reverse) used for obtaining risk yield.", "formula": "logistic(-1.32 - 0.407 ln(Total assets / GNP) 6.03 Debt ratio - 1.43 Net Working Capital/ Total Assets 0.0757 / Current ratio - 1.72 (Debt ratio 1) - 2.37 Return on Assets -1.83 Cash flow coverage Ratio 0.285 (Net income from continuing operations 2y pos) - 0.521 (relative difference of Net income from continuing operations))", "subDesc": "Logistic function. 1 / (1 exp(-x))", "min": "0%", "max": "100%", "good": "29%", "bad": "6%", "smallIsGood": false}, {"group": "Scores", "metric": "Beneish M-Score", "isFinancialResult":false, "submetric": "score", "id": "id_167-48", "period": "year", "isPrimary":true, "description": "Created by Professor Messod Beneish to detect earnings manipulation. An M-Score of greater than -1.78 signals that the company is likely to be a manipulator.", "formula": "-4.84 0.92 Days' Sales in Receivables Index 0.528 Gross Margin Index 0.404 Asset Quality Index 0.892 Sales Growth Index 0.115 Depreciation Index - 0.172 Sales General and Administrative expenses Index 4.679 Accruals to Total Assets - 0.327 Leverage Index", "min": -10.0, "max": 8.0, "good": -3.56, "bad": -1.78, "smallIsGood": true}, {"group": "Scores", "metric": "Beneish M-Score", "isFinancialResult":false, "submetric": "10y best", "id": "id_167-207", "period": "year", "isPrimary":false, "description": "Created by Professor Messod Beneish to detect earnings manipulation. An M-Score of greater than -1.78 signals that the company is likely to be a manipulator.", "formula": "-4.84 0.92 Days' Sales in Receivables Index 0.528 Gross Margin Index 0.404 Asset Quality Index 0.892 Sales Growth Index 0.115 Depreciation Index - 0.172 Sales General and Administrative expenses Index 4.679 Accruals to Total Assets - 0.327 Leverage Index", "subDesc": "Best over the past 10 years.", "min": -10.0, "max": 8.0, "good": -3.56, "bad": -1.78, "smallIsGood": true}, {"group": "Scores", "metric": "Beneish M-Score", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_167-139", "period": "year", "isPrimary":false, "description": "Created by Professor Messod Beneish to detect earnings manipulation. 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By incorporating dividend yield the PEGY ratio accounts for a companies' inclination (or disinclination) to pay out dividends.", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "-1%", "bad": "10%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "PEGY", "isFinancialResult":false, "submetric": "1y growth", "id": "id_125-15", "period": "year", "isPrimary":false, "description": "The price/earnings-to-growth and dividend yield ratio demonstrates how much the market is willing to pay for earnings growth and dividend yield. By incorporating dividend yield the PEGY ratio accounts for a companies' inclination (or disinclination) to pay out dividends.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "PEGY", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_125-16", "period": "year", "isPrimary":false, "description": "The price/earnings-to-growth and dividend yield ratio demonstrates how much the market is willing to pay for earnings growth and dividend yield. By incorporating dividend yield the PEGY ratio accounts for a companies' inclination (or disinclination) to pay out dividends.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "PFCFG", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_313-115", "period": "year", "isPrimary":true, "description": "The relative trade-off between the price of a stock the FCF and the company's expected growth.", "subDesc": "P/E (and yield) based on year. br/growth is natural logarithm of the CAGR.", "min": 0.0, "max": 7.0, "good": 0.8, "bad": 2.0, "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "PFCFG", "isFinancialResult":false, "submetric": "wavg/5y rCagr", "id": "id_313-114", "period": "year", "isPrimary":false, "description": "The relative trade-off between the price of a stock the FCF and the company's expected growth.", "subDesc": "P/E (and yield) based on average. br/growth is natural logarithm of the CAGR.", "min": 0.0, "max": 7.0, "good": 0.8, "bad": 2.0, "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "PDG", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_575-115", "period": "year", "isPrimary":true, "description": "The relative trade-off between the price of a stock the dividend and the company's expected dividend growth.", "subDesc": "P/E (and yield) based on year. br/growth is natural logarithm of the CAGR.", "min": 0.0, "max": 7.0, "good": 0.8, "bad": 2.0, "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "Return on Equity/ Price-Earnings Ratio (ROE/ PE)", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_156-75", "period": "year", "isPrimary":true, "description": "How many units of growth one buys for a unit of P/E", "formula": "Return on Equity / Price-Earnings Ratio", "subDesc": "ROE and P/EPS based on year value.", "min": 0.0, "max": 8.0, "good": 2.0, "bad": 0.8, "smallIsGood": false}, {"group": "Valuation - Price vs Earnings", "metric": "Return on Equity/ Price-Earnings Ratio (ROE/ PE)", "isFinancialResult":false, "submetric": "b/on wavgs", "id": "id_156-76", "period": "year", "isPrimary":false, "description": "How many units of growth one buys for a unit of P/E", "formula": "Return on Equity / Price-Earnings Ratio", "subDesc": "ROE and P/EPS based on average EPS.", "min": 0.0, "max": 8.0, "good": 2.0, "bad": 0.8, "smallIsGood": false}, {"group": "Valuation - Price vs Earnings", "metric": "Return on Equity/ Price-Earnings Ratio (ROE/ PE)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_156-15", "period": "year", "isPrimary":false, "description": "How many units of growth one buys for a unit of P/E", "formula": "Return on Equity / Price-Earnings Ratio", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Price vs Earnings", "metric": "Return on Equity/ Price-Earnings Ratio (ROE/ PE)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_156-16", "period": "year", "isPrimary":false, "description": "How many units of growth one buys for a unit of P/E", "formula": "Return on Equity / Price-Earnings Ratio", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Price vs Earnings", "metric": "Liquidity ratio", "isFinancialResult":false, "submetric": "", "id": "id_538-22", "period": "year", "isPrimary":true, "description": "Profits to yearly trading value.", "formula": "Net income / (253 Dollar volume)", "subDesc": "Ratio based on year values.", "min": "0%", "max": "1000%", "good": "80%", "bad": "20%", "smallIsGood": false}, {"group": "Valuation - Price vs Earnings", "metric": "Total Return Surplus", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_378-94", "period": "year", "isPrimary":false, "description": "The market total return in excess of the intrinsic value created.", "formula": "Annualized Total Return - Cash return on Invested Capital avg", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "Total Return Surplus", "isFinancialResult":false, "submetric": "max CAGR", "id": "id_378-190", "period": "year", "isPrimary":false, "description": "The market total return in excess of the intrinsic value created.", "formula": "Annualized Total Return - Cash return on Invested Capital avg", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a max-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "Market Reward Spread (MRS)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_603-15", "period": "year", "isPrimary":true, "description": "Shows how much the market rewarded shareholders beyond EPS growth.", "formula": "Annualized Total Return - Net Income Available for Common Shareholders growth", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Price vs Earnings", "metric": "Market Reward Spread (MRS)", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_603-94", "period": "year", "isPrimary":false, "description": "Shows how much the market rewarded shareholders beyond EPS growth.", "formula": "Annualized Total Return - Net Income Available for Common Shareholders growth", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "", "id": "id_124-22", "period": "year", "isPrimary":true, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_124-74", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Average of the last 5 year ratios.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_124-96", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": " b/on 10y avg", "id": "id_124-83", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years. br/Denominator based on year values.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": " wavg/val", "id": "id_124-23", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year values.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "ind diff", "id": "id_124-126", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_124-62", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "dif 5y weakest", "id": "id_124-46", "period": "year", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference between year value and historical bottom yield.", "min": "0%", "max": "400%", "good": "60%", "bad": "20%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "qtr  b/on ann qtr", "id": "id_124-Q90", "period": "quarter", "isPrimary":false, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Ratio based on annualized quarter.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Revenue/ Enterprise Value (Revenue/ EV)", "isFinancialResult":false, "submetric": "", "id": "id_507-22", "period": "year", "isPrimary":true, "description": "The revenue by the firm relative to the Enterprise Value. Inverse of EV per Revenue", "formula": "Revenue / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "0%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": "", "id": "id_230-22", "period": "year", "isPrimary":true, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "-400%", "max": "400%", "good": "33%", "bad": "13%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": " b/on 10y avg", "id": "id_230-83", "period": "year", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years. br/Denominator based on year values.", "min": "-400%", "max": "400%", "good": "33%", "bad": "13%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": " wavg/val", "id": "id_230-23", "period": "year", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year values.", "min": "-400%", "max": "400%", "good": "33%", "bad": "13%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": "ind diff", "id": "id_230-126", "period": "year", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_230-62", "period": "year", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": "dif 5y weakest", "id": "id_230-46", "period": "year", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Relative difference between year value and historical bottom yield.", "min": "0%", "max": "400%", "good": "60%", "bad": "20%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Gross Profit/ Enterprise Value (GP/ EV)", "isFinancialResult":false, "submetric": "qtr  b/on ann qtr", "id": "id_230-Q90", "period": "quarter", "isPrimary":false, "description": "Quite similar to Revenue yield on Enterprise Value with the likely benefit of excluding low-gross-margin businesses from consideration.", "formula": "Revenue / Enterprise Value", "subDesc": "Ratio based on annualized quarter.", "min": "-400%", "max": "400%", "good": "33%", "bad": "13%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "", "id": "id_66-22", "period": "year", "isPrimary":true, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": " b/on 10y avg", "id": "id_66-83", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years. br/Denominator based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": " wavg/val", "id": "id_66-23", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "b/on 1y diff", "id": "id_66-241", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "1y difference divided by year value.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "ind diff", "id": "id_66-126", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_66-62", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "dif 5y weakest", "id": "id_66-46", "period": "year", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference between year value and historical bottom yield.", "min": "0%", "max": "400%", "good": "60%", "bad": "20%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "qtr  b/on ann qtr", "id": "id_66-Q90", "period": "quarter", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Ratio based on annualized quarter.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITDA yield", "isFinancialResult":false, "submetric": "qtr b/on 1y diff", "id": "id_66-Q241", "period": "quarter", "isPrimary":false, "description": "The annual EBITDA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "1y difference divided by year value.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": "", "id": "id_321-22", "period": "year", "isPrimary":true, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": " b/on 3y avg", "id": "id_321-178", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Numerator based on average over the past 4 years. br/Denominator based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": " wavg/val", "id": "id_321-23", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year values.", "min": "-200%", "max": "300%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": "ind diff", "id": "id_321-126", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": "diff ind b/on 3y avg", "id": "id_321-236", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference () of 10 year average with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": "diff ind b/on wavg/val", "id": "id_321-237", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference () of 10 year average with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "EBITA yield", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_321-62", "period": "year", "isPrimary":false, "description": "The annual EBITA by the firm relative to the Enterprise Value. Inverse of EV per EBITDA.", "formula": "EBITDA / Enterprise Value", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Adjusted Operating Income yield (Adjusted OI yield)", "isFinancialResult":false, "submetric": "", "id": "id_259-22", "period": "year", "isPrimary":true, "description": "The annual Adjusted Operating Income by the firm relative to the Enterprise Value. Inverse of EV per Operating Income.", "formula": "Adjusted Operating Income / Enterprise Value", "subDesc": "Ratio based on year values.", "min": "-100%", "max": "100%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Adjusted Operating Income yield (Adjusted OI yield)", "isFinancialResult":false, "submetric": " b/on 10y avg", "id": "id_259-83", "period": "year", "isPrimary":false, "description": "The annual Adjusted Operating Income by the firm relative to the Enterprise Value. Inverse of EV per Operating Income.", "formula": "Adjusted Operating Income / Enterprise Value", "subDesc": "Numerator based on average over the past 10 years. br/Denominator based on year values.", "min": "-100%", "max": "100%", "good": "17%", "bad": "8%", "smallIsGood": false}, {"group": "Valuation - EV vs Earnings", "metric": "Adjusted Operating Income yield (Adjusted OI yield)", "isFinancialResult":false, "submetric": " wavg/val", "id": "id_259-23", "period": "year", "isPrimary":false, "description": "The annual Adjusted Operating Income by the firm relative to the Enterprise Value. 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The Enterprise Value/ EBITDA according to Dana Allen is a number even when its components are negative.", "formula": "Enterprise Value / EBITDA", "subDesc": "Relative difference between year value and historical ratio top.", "min": "-100%", "max": "100%", "good": "-60%", "bad": "-20%", "smallIsGood": true}, {"group": "Valuation - EV vs Earnings", "metric": "Allen Enterprise Value/ EBITDA (Allen EV/ EBITDA)", "isFinancialResult":false, "submetric": "qtr b/on ann qtr", "id": "id_174-Q89", "period": "quarter", "isPrimary":false, "description": "Compares the value of a business free of Debt to its EBITDA with the advantage of valuing a company regardless of its capital structure. 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NNWC is the liquidation value and a better way to view asset value than book value.", "formula": "Market cap / Net-Net Working Capital", "subDesc": "Ratio based on year value.", "min": 0.0, "max": 90.0, "good": 4.0, "bad": 16.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Price/ Net-Net Working Capital (Price/ NNWC)", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_94-61", "period": "year", "isPrimary":false, "description": "Compares market value to Net-Net Working Capital. NNWC is the liquidation value and a better way to view asset value than book value.", "formula": "Market cap / Net-Net Working Capital", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Faustmann ratio", "isFinancialResult":false, "submetric": "P/val", "id": "id_408-20", "period": "year", "isPrimary":true, "description": "Compares market value to Net Worth.", "formula": "Market cap / Net Worth", "subDesc": "Ratio based on year value.", "min": 0.0, "max": 50.0, "good": 1.0, "bad": 3.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Faustmann ratio", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_408-61", "period": "year", "isPrimary":false, "description": "Compares market value to Net Worth.", "formula": "Market cap / Net Worth", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Price/ Net cash", "isFinancialResult":false, "submetric": "P/val", "id": "id_169-20", "period": "year", "isPrimary":true, "description": "Calculated by dividing the Market Capitalisation by Total Cash minus Total Liabilities.", "formula": "Market cap / Net cash", "subDesc": "Ratio based on year value.", "min": 0.0, "max": 10000.0, "good": 4.0, "bad": 1000.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Price/ Net cash", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_169-61", "period": "year", "isPrimary":false, "description": "Calculated by dividing the Market Capitalisation by Total Cash minus Total Liabilities.", "formula": "Market cap / Net cash", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Price/ Liabilities", "isFinancialResult":false, "submetric": "P/val", "id": "id_102-20", "period": "year", "isPrimary":true, "description": "Market Value of Equity &divide Book Value of Total Liabilities.", "formula": "Market cap / Total Liabilities", "subDesc": "Ratio based on year value.", "min": 0.0, "max": 50.0, "good": 5.0, "bad": 1.0, "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "", "id": "id_295-22", "period": "year", "isPrimary":true, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Ratio based on year values.", "min": "-100%", "max": "500%", "good": "100%", "bad": "33%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "1y growth", "id": "id_295-15", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_295-168", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_295-94", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "7y CAGR", "id": "id_295-101", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "10y CAGR", "id": "id_295-145", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Book to Market", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_295-16", "period": "year", "isPrimary":false, "description": "Find the value of a company by comparing the book value of a firm to its market value.", "formula": "Common Book Value / Price", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Net Cash to Market", "isFinancialResult":false, "submetric": "", "id": "id_367-22", "period": "year", "isPrimary":true, "description": "Calculated by dividing the Total Cash minus Total Liabilities by Market Capitalisation.", "formula": "Net cash / Market cap", "subDesc": "Ratio based on year values.", "min": "-200%", "max": "200%", "good": "25%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Net Cash to Market", "isFinancialResult":false, "submetric": "1y growth", "id": "id_367-15", "period": "year", "isPrimary":false, "description": "Calculated by dividing the Total Cash minus Total Liabilities by Market Capitalisation.", "formula": "Net cash / Market cap", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Net Debt change/ Price", "isFinancialResult":false, "submetric": "", "id": "id_370-171", "period": "year", "isPrimary":true, "description": "Shows the impact of the company building up their net cash storage.", "formula": "Net cash diff / Market cap", "subDesc": "Ratio based on year values.", "min": "-1000%", "max": "1000%", "good": "5%", "bad": "0%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Net Debt to Market", "isFinancialResult":false, "submetric": "", "id": "id_460-22", "period": "year", "isPrimary":true, "description": "Gives a sense of how much debt a company has relative to its market value.", "formula": "Net Debt / Market cap", "subDesc": "Ratio based on year values.", "min": "0%", "max": "1900%", "good": "43%", "bad": "186%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Net Debt change/ Price", "isFinancialResult":false, "submetric": "", "id": "id_351-171", "period": "year", "isPrimary":true, "description": "Shows the impact of the company building up their cash storage or paying down debt.", "formula": "Net Debt diff / Market cap", "subDesc": "Ratio based on year values.", "min": "-1000%", "max": "1000%", "good": "-5%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "EV/val", "id": "id_471-188", "period": "year", "isPrimary":true, "description": "Valuation metric used for measuring the value of the company as compared to its total assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Total assets", "subDesc": "Ratio based on values at same moment", "min": 0.0, "max": 50.0, "good": 1.0, "bad": 3.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "ind diff", "id": "id_471-126", "period": "year", "isPrimary":false, "description": "Valuation metric used for measuring the value of the company as compared to its total assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Total assets", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "-1%", "bad": "10%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_471-61", "period": "year", "isPrimary":false, "description": "Valuation metric used for measuring the value of the company as compared to its total assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Total assets", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "EV/val", "id": "id_472-188", "period": "year", "isPrimary":true, "description": "Valuation metric used for measuring the value of the company as compared to its tangible assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Tangible assets", "subDesc": "Ratio based on values at same moment", "min": 0.0, "max": 50.0, "good": 1.0, "bad": 3.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "ind diff", "id": "id_472-126", "period": "year", "isPrimary":false, "description": "Valuation metric used for measuring the value of the company as compared to its tangible assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Tangible assets", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "-1%", "bad": "10%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Assets", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_472-61", "period": "year", "isPrimary":false, "description": "Valuation metric used for measuring the value of the company as compared to its tangible assets and is very helpful in comparing valuations of companies across similar stocks in the sector.", "formula": "(Enterprise Value Excess cash'') / Tangible assets", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Invested Capital (EV/ IC)", "isFinancialResult":false, "submetric": "EV/val", "id": "id_373-188", "period": "year", "isPrimary":true, "description": "A measure of enterprise value normalized by the level of capital used by the business.", "formula": "Enterprise Value / Invested capital", "subDesc": "Ratio based on values at same moment", "min": 0.0, "max": 50.0, "good": 1.0, "bad": 5.0, "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Invested Capital (EV/ IC)", "isFinancialResult":false, "submetric": "5y rCAGR", "id": "id_373-189", "period": "year", "isPrimary":false, "description": "A measure of enterprise value normalized by the level of capital used by the business.", "formula": "Enterprise Value / Invested capital", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "EV/ Invested Capital (EV/ IC)", "isFinancialResult":false, "submetric": "diff 5y avg", "id": "id_373-61", "period": "year", "isPrimary":false, "description": "A measure of enterprise value normalized by the level of capital used by the business.", "formula": "Enterprise Value / Invested capital", "subDesc": "Relative difference between last year and 2", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Valuation - Balance", "metric": "Equity financing ratio", "isFinancialResult":false, "submetric": "", "id": "id_177-51", "period": "year", "isPrimary":true, "description": "Percentage of financing that is equity.", "formula": "Market cap / Financing", "subDesc": "Percentage based on year values.", "min": "0%", "max": "100%", "good": "75%", "bad": "25%", "smallIsGood": false}, {"group": "Valuation - Balance", "metric": "Debt financing ratio", "isFinancialResult":false, "submetric": "", "id": "id_178-51", "period": "year", "isPrimary":true, "description": "Percentage of financing that is debt.", "formula": "Total Debt and Lease / Financing", "subDesc": "Percentage based on year values.", "min": "0%", "max": "100%", "good": "25%", "bad": "75%", "smallIsGood": true}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "number", "id": "id_70-102", "period": "year", "isPrimary":true, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Based on year values.br/Denominator based on year average.", "min": -10.0, "max": 10.0, "good": 0.9, "bad": 0.1, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "5y avg", "id": "id_70-74", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Average of the last 5 year ratios.", "min": -10.0, "max": 10.0, "good": 0.9, "bad": 0.1, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "10y avg", "id": "id_70-96", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Average over the past 10 years.", "min": -10.0, "max": 10.0, "good": 0.9, "bad": 0.1, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "b/on wavg", "id": "id_70-24", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Numerator based on year value.br/Denominator based on average over the past 10 years with more weight for more recent years.", "min": -10.0, "max": 10.0, "good": 0.9, "bad": 0.1, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_70-139", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Poorest over the past 10 years.", "min": -10.0, "max": 10.0, "good": 0.9, "bad": 0.1, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "5y ROinc", "id": "id_70-197", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "5y Return On Increment", "min": "-1000%", "max": "1000%", "good": "90%", "bad": "10%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "1y growth", "id": "id_70-15", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_70-168", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_70-16", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Asset Turnover", "isFinancialResult":false, "submetric": "inc", "id": "id_70-14", "period": "year", "isPrimary":false, "description": "Measures a firm's efficiency at using its assets in generating revenue. There is no number that determines whether a company is doing a good job of generating revenue from its assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Total assets", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "number", "id": "id_110-102", "period": "year", "isPrimary":true, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Based on year values.br/Denominator based on year average.", "min": -10.0, "max": 10.0, "good": 2.7, "bad": 0.3, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_110-74", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Average of the last 5 year ratios.", "min": -10.0, "max": 10.0, "good": 2.7, "bad": 0.3, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_110-96", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Average over the past 10 years.", "min": -10.0, "max": 10.0, "good": 2.7, "bad": 0.3, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "b/on wavg", "id": "id_110-24", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Numerator based on year value.br/Denominator based on average over the past 10 years with more weight for more recent years.", "min": -10.0, "max": 10.0, "good": 2.7, "bad": 0.3, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_110-139", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Poorest over the past 10 years.", "min": -10.0, "max": 10.0, "good": 2.7, "bad": 0.3, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_110-15", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_110-16", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Fixed Asset turnover (FA turnover)", "isFinancialResult":false, "submetric": "inc", "id": "id_110-14", "period": "year", "isPrimary":false, "description": "Measures a company's ability to generate net sales from fixed-asset investments &minus specifically property plant and equipment (PP&E) &minus net of depreciation. There is no number that determines whether a company is doing a good job of generating revenue from its fixed assets. This makes it important to compare the ratio to the historical levels along with peer company or industry averages.", "formula": "Revenue / Net Property Plant and Equipment", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Inventory Turnover", "isFinancialResult":false, "submetric": "number", "id": "id_200-102", "period": "year", "isPrimary":true, "description": "Measures how fast a company is selling inventory and is generally compared against industry averages.", "formula": "Cost of Revenue / Inventory", "subDesc": "Based on year values.br/Denominator based on year average.", "min": 0.0, "max": 100.0, "good": 20.0, "bad": 5.0, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Cash Turnover Ratio (CTR)", "isFinancialResult":false, "submetric": "number", "id": "id_544-102", "period": "year", "isPrimary":true, "description": "Shows the number of times cash is turned over in an accounting period.", "formula": "Revenue / Cash and Equivalents", "subDesc": "Based on year values.br/Denominator based on year average.", "min": 0.0, "max": 100.0, "good": 10.0, "bad": 1.0, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Gross Profitability Ratio (GP ratio)", "isFinancialResult":false, "submetric": "", "id": "id_223-52", "period": "year", "isPrimary":true, "description": "Evidence that a company has sustainable competitive advantages. 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Rewards companies that improve capital allocation quality over time.", "formula": "Risk-Adjusted Incremental Economic Spread .5y ROInc Operating ROIC .5y momentum", "subDesc": "5y Return On Increment", "min": -2.0, "max": 5.0, "good": 0.8, "bad": 0.4, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Capital Return Quality (RQ)", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_616-168", "period": "year", "isPrimary":false, "description": "Risk-adjusted incremental economic spread (Op. ROIC 5y ROInc &minus WACC normalised by return volatility) scaled by the 5-year momentum of Operating ROIC. 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Equal to Reinvestment Rate times ROIC (Damodaran's fundamental growth rate).", "formula": "Reinvestment rate Return on Invested Capital", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity (ROE)", "isFinancialResult":false, "submetric": "", "id": "id_60-52", "period": "year", "isPrimary":true, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net Income Available for Common Shareholders / Common Book Value", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-90%", "max": "90%", "good": "20%", "bad": "10%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity 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"smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity (ROE)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_60-96", "period": "year", "isPrimary":false, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net Income Available for Common Shareholders / Common Book Value", "subDesc": "Average over the past 10 years.", "min": "-90%", "max": "90%", "good": "20%", "bad": "10%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity (ROE)", "isFinancialResult":false, "submetric": "5y CV", "id": "id_60-232", "period": "year", "isPrimary":false, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net Income Available for Common Shareholders / Common Book Value", "subDesc": 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false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity (ROE)", "isFinancialResult":false, "submetric": "inc", "id": "id_60-14", "period": "year", "isPrimary":false, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net Income Available for Common Shareholders / Common Book Value", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Equity (Adjusted ROE)", "isFinancialResult":false, "submetric": "", "id": "id_405-52", "period": "year", "isPrimary":true, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net income / Shareholders' Equity and Treasury 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"isPrimary":false, "description": "Measures a corporation's profitability by revealing how much profit a company generates with the money shareholders have invested.", "formula": "Net income / Shareholders' Equity and Treasury Stock", "subDesc": "Poorest over the past 10 years.", "min": "-90%", "max": "90%", "good": "20%", "bad": "10%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Tangible Equity (ROTE)", "isFinancialResult":false, "submetric": "", "id": "id_389-52", "period": "year", "isPrimary":true, "description": "Measures the rate of return on the tangible common equity.", "formula": "Net Income Available for Common Shareholders / Common Tangible Book Value", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-90%", "max": "90%", "good": "20%", "bad": "10%", "smallIsGood": false}, {"group": "Profitability (b/on Investment)", "metric": "Return on Tangible Equity (ROTE)", "isFinancialResult":false, 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When the ratio rises above 1 it is indicative of a strong ability to fund it's activities through generation of operating cash flow.", "formula": "Cash Flow from Operations / Net income from continuing operations", "subDesc": "Average of the last 3 year ratios.", "min": -10.0, "max": 10.0, "good": 0.95, "bad": 0.75, "smallIsGood": false}, {"group": "Quality of Earnings", "metric": "Cash Conversion Ratio (CCR)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_262-15", "period": "year", "isPrimary":false, "description": "Ratio to determine the quality of a firm's reported earnings. When the ratio rises above 1 it is indicative of a strong ability to fund it's activities through generation of operating cash flow.", "formula": "Cash Flow from Operations / Net income from continuing operations", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Quality of Earnings", "metric": "Cash Conversion Ratio (CCR)", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_262-168", "period": "year", "isPrimary":false, "description": "Ratio to determine the quality of a firm's reported earnings. When the ratio rises above 1 it is indicative of a strong ability to fund it's activities through generation of operating cash flow.", "formula": "Cash Flow from Operations / Net income from continuing operations", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Quality of Earnings", "metric": "Cash Flow/ Earnings (FCFO/ EPS)", "isFinancialResult":false, "submetric": "ratio", "id": "id_210-108", "period": "year", "isPrimary":true, "description": "Compares Cash Flow to the Owner per Share with reported EPS.", "formula": "Owner Earnings / Net Income Available for Common Shareholders", "subDesc": "Ratio of income/cash flow measures. Denominator must be positive.", "min": -10.0, "max": 10.0, "good": 2.0, "bad": 1.0, "smallIsGood": false}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "", "id": "id_303-52", "period": "year", "isPrimary":true, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "3y avg", "id": "id_303-181", "period": "year", "isPrimary":false, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Average of the last 3 year ratios.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "5y avg", "id": "id_303-74", "period": "year", "isPrimary":false, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Average of the last 5 year ratios.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "8y gmean", "id": "id_303-239", "period": "year", "isPrimary":false, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Geometric Mean over the past 8 year.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_303-15", "period": "year", "isPrimary":false, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Sloan ratio", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_303-168", "period": "year", "isPrimary":false, "description": "Richard Sloan was first to document what is referred to as the accrual anomaly. Shares of companies with small or negative accruals vastly outperform (10) those of companies with large ones.", "formula": "Aggregate Accruals / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "", "id": "id_304-52", "period": "year", "isPrimary":true, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "0%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "5y avg", "id": "id_304-74", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Average of the last 5 year ratios.", "min": "0%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "10y avg", "id": "id_304-96", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "10y best", "id": "id_304-207", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Best over the past 10 years.", "min": "0%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_304-139", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Poorest over the past 10 years.", "min": "0%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_304-15", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Absolute Sloan ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_304-16", "period": "year", "isPrimary":false, "description": "Absolute value of Sloan ratio.", "formula": "abs(Sloan ratio)", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Accruals to Total Assets (Accruals to Assets)", "isFinancialResult":false, "submetric": "", "id": "id_485-52", "period": "year", "isPrimary":true, "description": "Capture where accounting profits are not supported by cash profits.", "formula": "(Net income from continuing operations - Cash Flow from Operations) / Total assets", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-50%", "max": "50%", "good": "0%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "NOA Accruals to Total Assets (NOA Accruals to Assets)", "isFinancialResult":false, "submetric": "", "id": "id_605-52", "period": "year", "isPrimary":true, "description": "Capture where accounting profits are not supported by cash profits using changes in Net Operating Assets.", "formula": "Net Operating Assets' 1y diff / Total assets", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "RSST Accruals to Total Assets (RSST Accruals to Assets)", "isFinancialResult":false, "submetric": "", "id": "id_533-52", "period": "year", "isPrimary":true, "description": "Capture where accounting profits are not supported by cash profits using RSST accruals.", "formula": "RSST Acruals / Total assets", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-75%", "max": "75%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "RSST Accruals to Total Assets (RSST Accruals to Assets)", "isFinancialResult":false, "submetric": "3y avg", "id": "id_533-181", "period": "year", "isPrimary":false, "description": "Capture where accounting profits are not supported by cash profits using RSST accruals.", "formula": "RSST Acruals / Total assets", "subDesc": "Average of the last 3 year ratios.", "min": "-75%", "max": "75%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "RSST Accruals to Total Assets (RSST Accruals to Assets)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_533-74", "period": "year", "isPrimary":false, "description": "Capture where accounting profits are not supported by cash profits using RSST accruals.", "formula": "RSST Acruals / Total assets", "subDesc": "Average of the last 5 year ratios.", "min": "-75%", "max": "75%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "RSST Accruals to Total Assets (RSST Accruals to Assets)", "isFinancialResult":false, "submetric": "8y gmean", "id": "id_533-239", "period": "year", "isPrimary":false, "description": "Capture where accounting profits are not supported by cash profits using RSST accruals.", "formula": "RSST Acruals / Total assets", "subDesc": "Geometric Mean over the past 8 year.", "min": "-75%", "max": "75%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Soft Assets to Total Assets (Soft Assets to Assets)", "isFinancialResult":false, "submetric": "", "id": "id_535-22", "period": "year", "isPrimary":true, "description": "Capture where accounting profits are not supported by cash profits using RSST accruals.", "formula": "Soft assets / Total assets", "subDesc": "Ratio based on year values.", "min": "-100%", "max": "100%", "good": "10%", "bad": "25%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_57-30", "period": "year", "isPrimary":true, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Value must be positive. br/Both nominator and denominator are based on year value.", "min": "0%", "max": "90%", "good": "10%", "bad": "50%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "payout b/on wavgs", "id": "id_57-29", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Value must be positive. br/Both nominator and denominator are based on average over the past years.", "min": "0%", "max": "90%", "good": "10%", "bad": "50%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "5y avg", "id": "id_57-74", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Average of the last 5 year ratios.", "min": "0%", "max": "90%", "good": "10%", "bad": "50%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "10y avg", "id": "id_57-96", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "90%", "good": "10%", "bad": "50%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_57-15", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_57-16", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Payout ratio", "isFinancialResult":false, "submetric": "inc", "id": "id_57-14", "period": "year", "isPrimary":false, "description": "The amount of earnings paid out in dividends to shareholders.", "formula": "Traditional Gross Dividend / Net Income Available for Common Shareholders", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 0.0, "bad": 3.0, "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_224-30", "period": "year", "isPrimary":true, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Value must be positive. br/Both nominator and denominator are based on year value.", "min": "0%", "max": "100%", "good": "20%", "bad": "70%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "payout b/on wavgs", "id": "id_224-29", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Value must be positive. br/Both nominator and denominator are based on average over the past years.", "min": "0%", "max": "100%", "good": "20%", "bad": "70%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_224-74", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Average of the last 5 year ratios.", "min": "0%", "max": "100%", "good": "20%", "bad": "70%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_224-96", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "100%", "good": "20%", "bad": "70%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_224-15", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_224-16", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Owner Payout ratio (OE Payout ratio)", "isFinancialResult":false, "submetric": "inc", "id": "id_224-14", "period": "year", "isPrimary":false, "description": "How much cash as a percent of Free Cash Flow the company is paying its investors.", "formula": "Traditional Gross Dividend / Owner Earnings'", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 0.0, "bad": 3.0, "smallIsGood": true}, {"group": "Quality of Earnings", "metric": "Dividend Cushion ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_555-54", "period": "year", "isPrimary":true, "description": "Helpful tool to cushion your dividend growth or income portfolio against potential dividend cuts.", "formula": "(Net cash Free Cash Flow 5 year estimate) / Dividend paid 5 year estimate", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current ratio", "isFinancialResult":false, "submetric": "ratio", "id": "id_42-25", "period": "year", "isPrimary":true, "description": "Liquidity ratio. Measures whether or not a firm has enough resources to pay its Debts over the next 12 months.", "formula": "Current assets / Current liabilities", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 3.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_42-15", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures whether or not a firm has enough resources to pay its Debts over the next 12 months.", "formula": "Current assets / Current liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_42-16", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures whether or not a firm has enough resources to pay its Debts over the next 12 months.", "formula": "Current assets / Current liabilities", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current ratio", "isFinancialResult":false, "submetric": "inc", "id": "id_42-14", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures whether or not a firm has enough resources to pay its Debts over the next 12 months.", "formula": "Current assets / Current liabilities", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "b/on yr avg", "id": "id_276-138", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "(Cash Flow from Operations - Dividend paid) / Current liabilities", "subDesc": "Ratio based on year values.br/Denominator based on year average.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "weakest 5y", "id": "id_276-43", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "(Cash Flow from Operations - Dividend paid) / Current liabilities", "subDesc": "Poorest over the past 5 years.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_276-139", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "(Cash Flow from Operations - Dividend paid) / Current liabilities", "subDesc": "Poorest over the past 10 years.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "OE Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "b/on yr avg", "id": "id_411-138", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "Owner Earnings' / Current liabilities", "subDesc": "Ratio based on year values.br/Denominator based on year average.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "OE Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_411-139", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "Owner Earnings' / Current liabilities", "subDesc": "Poorest over the past 10 years.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "OE Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "b/on yr avg", "id": "id_409-138", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "(Owner Earnings' - Dividend paid) / Current liabilities", "subDesc": "Ratio based on year values.br/Denominator based on year average.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "OE Current Liability Coverage Ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_409-139", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures the company's ability to pay its current liabilities. It's a better indicator than the current ratio or quick ratio.", "formula": "(Owner Earnings' - Dividend paid) / Current liabilities", "subDesc": "Poorest over the past 10 years.", "min": -10.0, "max": 10.0, "good": 4.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Quick ratio", "isFinancialResult":false, "submetric": "ratio", "id": "id_133-25", "period": "year", "isPrimary":true, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets.", "formula": "(Cash and short-term investments Total receivables) / Current liabilities", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 3.0, "bad": 1.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Quick ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_133-15", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets.", "formula": "(Cash and short-term investments Total receivables) / Current liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Quick ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_133-16", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets.", "formula": "(Cash and short-term investments Total receivables) / Current liabilities", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Quick ratio", "isFinancialResult":false, "submetric": "inc", "id": "id_133-14", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets.", "formula": "(Cash and short-term investments Total receivables) / Current liabilities", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_410-54", "period": "year", "isPrimary":true, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings') / Current liabilities", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 1.0, "bad": 0.5, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "b/on yr avg", "id": "id_410-212", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings') / Current liabilities", "subDesc": "Ratio based on year values.br/Denominator based on year average.", "min": 0.0, "max": 10.0, "good": 1.0, "bad": 0.5, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_410-15", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings') / Current liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_412-54", "period": "year", "isPrimary":true, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings' - Dividend paid) / Current liabilities", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 1.0, "bad": 0.5, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "b/on yr avg", "id": "id_412-212", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings' - Dividend paid) / Current liabilities", "subDesc": "Ratio based on year values.br/Denominator based on year average.", "min": 0.0, "max": 10.0, "good": 1.0, "bad": 0.5, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Complete Quick ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_412-15", "period": "year", "isPrimary":false, "description": "Liquidity ratio. Measures a company's ability to meet its short-term obligations with its most liquid assets and cash flow.", "formula": "(Cash and short-term investments Owner Earnings' - Dividend paid) / Current liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash to Current Assets", "isFinancialResult":false, "submetric": "", "id": "id_289-22", "period": "year", "isPrimary":true, "description": "Determines how liquid a company is by comparing its readily available cash to its current assets.", "formula": "Cash and short-term investments / Current assets", "subDesc": "Ratio based on year values.", "min": "0%", "max": "100%", "good": "80%", "bad": "20%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash to Current Assets", "isFinancialResult":false, "submetric": "1y growth", "id": "id_289-15", "period": "year", "isPrimary":false, "description": "Determines how liquid a company is by comparing its readily available cash to its current assets.", "formula": "Cash and short-term investments / Current assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash to Current Assets", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_289-16", "period": "year", "isPrimary":false, "description": "Determines how liquid a company is by comparing its readily available cash to its current assets.", "formula": "Cash and short-term investments / Current assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "", "id": "id_413-22", "period": "year", "isPrimary":true, "description": "A company's ability to repay its short-term debt with cash or near-cash resources.", "formula": "Cash and short-term investments / Current liabilities", "subDesc": "Ratio based on year values.", "min": "0%", "max": "100%", "good": "80%", "bad": "20%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_413-15", "period": "year", "isPrimary":false, "description": "A company's ability to repay its short-term debt with cash or near-cash resources.", "formula": "Cash and short-term investments / Current liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_413-16", "period": "year", "isPrimary":false, "description": "A company's ability to repay its short-term debt with cash or near-cash resources.", "formula": "Cash and short-term investments / Current liabilities", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash to Assets", "isFinancialResult":false, "submetric": "", "id": "id_464-22", "period": "year", "isPrimary":true, "description": "The proportion of a company's assets that are made up for cash and short term investments.", "formula": "Cash and short-term investments / Total assets", "subDesc": "Ratio based on year values.", "min": "0%", "max": "100%", "good": "50%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Cash to Assets", "isFinancialResult":false, "submetric": "ind diff", "id": "id_464-126", "period": "year", "isPrimary":false, "description": "The proportion of a company's assets that are made up for cash and short term investments.", "formula": "Cash and short-term investments / Total assets", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "", "id": "id_98-22", "period": "year", "isPrimary":true, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Ratio based on year values.", "min": "-50%", "max": "100%", "good": "50%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_98-139", "period": "year", "isPrimary":false, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Poorest over the past 10 years.", "min": "-50%", "max": "100%", "good": "50%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "ind diff", "id": "id_98-126", "period": "year", "isPrimary":false, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Relative difference () with industry median.", "min": "-100%", "max": "100%", "good": "10%", "bad": "-1%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_98-15", "period": "year", "isPrimary":false, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_98-16", "period": "year", "isPrimary":false, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Working Capital/ Total Assets (WC/ total assets)", "isFinancialResult":false, "submetric": "inc", "id": "id_98-14", "period": "year", "isPrimary":false, "description": "Liquidity ratio that expresses the net current assets or working capital of a company as a percentage of its total assets. One of the most keenly watched financial ratios.", "formula": "Net working capital / Total assets", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Days Sales Outstanding (DSO)", "isFinancialResult":false, "submetric": "days", "id": "id_158-264", "period": "year", "isPrimary":true, "description": "Or Days' Sales in Receivables is the average number of days it takes to collect a receivable. High growth can be an indicator of revenue inflation.", "formula": "Accounts Receivables / daily Revenue", "subDesc": "Numerator is yearly averagebr/Denominator is daily average.", "min": 0.0, "max": 365.0, "good": 45.0, "bad": 100.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Days Sales Outstanding (DSO)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_158-96", "period": "year", "isPrimary":false, "description": "Or Days' Sales in Receivables is the average number of days it takes to collect a receivable. High growth can be an indicator of revenue inflation.", "formula": "Accounts Receivables / daily Revenue", "subDesc": "Average over the past 10 years.", "min": 0.0, "max": 365.0, "good": 45.0, "bad": 100.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Days Sales Outstanding (DSO)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_158-15", "period": "year", "isPrimary":false, "description": "Or Days' Sales in Receivables is the average number of days it takes to collect a receivable. High growth can be an indicator of revenue inflation.", "formula": "Accounts Receivables / daily Revenue", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Days Sales Outstanding (DSO)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_158-16", "period": "year", "isPrimary":false, "description": "Or Days' Sales in Receivables is the average number of days it takes to collect a receivable. High growth can be an indicator of revenue inflation.", "formula": "Accounts Receivables / daily Revenue", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Days Payable Outstanding (DPO)", "isFinancialResult":false, "submetric": "days", "id": "id_241-264", "period": "year", "isPrimary":true, "description": "A company's average payable period telling how long it takes a company to pay its invoices from trade creditors", "formula": "Accounts Payable / daily Cost of Revenue", "subDesc": "Numerator is yearly averagebr/Denominator is daily average.", "min": 0.0, "max": 365.0, "good": 100.0, "bad": 45.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Days Payable Outstanding (DPO)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_241-96", "period": "year", "isPrimary":false, "description": "A company's average payable period telling how long it takes a company to pay its invoices from trade creditors", "formula": "Accounts Payable / daily Cost of Revenue", "subDesc": "Average over the past 10 years.", "min": 0.0, "max": 365.0, "good": 100.0, "bad": 45.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Days Payable Outstanding (DPO)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_241-15", "period": "year", "isPrimary":false, "description": "A company's average payable period telling how long it takes a company to pay its invoices from trade creditors", "formula": "Accounts Payable / daily Cost of Revenue", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Days Payable Outstanding (DPO)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_241-16", "period": "year", "isPrimary":false, "description": "A company's average payable period telling how long it takes a company to pay its invoices from trade creditors", "formula": "Accounts Payable / daily Cost of Revenue", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "ratio", "id": "id_213-25", "period": "year", "isPrimary":false, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 3.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "4 qtr avg", "id": "id_213-229", "period": "year", "isPrimary":true, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Average of 4 quarter values", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 3.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "5y avg", "id": "id_213-74", "period": "year", "isPrimary":false, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Average of the last 5 year ratios.", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 3.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "10y avg", "id": "id_213-96", "period": "year", "isPrimary":false, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Average over the past 10 years.", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 3.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_213-44", "period": "year", "isPrimary":false, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Poorest over the past 5 years.", "min": "0%", "max": "1000%", "good": "150%", "bad": "300%", "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Flow ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_213-139", "period": "year", "isPrimary":false, "description": "Measures whether the company has an asset light business model and manages its working capital well by isolating the bad current assets.", "formula": "Non-cash current assets / Non-Interest-Bearing Current Liabilities", "subDesc": "Poorest over the past 10 years.", "min": 0.0, "max": 10.0, "good": 1.5, "bad": 3.0, "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Months Before Cash Runs Out (MBCRO)", "isFinancialResult":false, "submetric": "months", "id": "id_219-117", "period": "year", "isPrimary":true, "description": "How much months are left before the company runs out of cash.", "formula": "Cash and short-term investments / Burn rate", "subDesc": "Number of months.", "min": 0.0, "max": 100.0, "good": 24.0, "bad": 12.0, "smallIsGood": false}, {"group": "Liquidity ratios", "metric": "Net Loans/ Total Assets (Loans/ Assets)", "isFinancialResult":false, "submetric": "", "id": "id_266-51", "period": "year", "isPrimary":true, "description": "Measures the total loans outstanding as a percentage of total assets. The higher this ratio indicates a bank is loaned up and its liquidity is low. The higher the ratio the more risky a bank may be to higher defaults.", "formula": "Net Loans / Total assets", "subDesc": "Percentage based on year values.", "min": "0%", "max": "100%", "good": "20%", "bad": "80%", "smallIsGood": true}, {"group": "Liquidity ratios", "metric": "Loan-deposit ratio", "isFinancialResult":false, "submetric": "", "id": "id_268-51", "period": "year", "isPrimary":true, "description": "Ratio between the banks total loans and total deposits. If the ratio is lower than one the bank relied on its own deposits to make loans to its customers without any outside borrowing. If the ratio is greater than one the bank borrowed money which it reloaned at higher rates rather than relying entirely on its own deposits.", "formula": "Net Loans / Deposits", "subDesc": "Percentage based on year values.", "min": "0%", "max": "1000%", "good": "50%", "bad": "150%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt ratio", "isFinancialResult":false, "submetric": "", "id": "id_43-51", "period": "year", "isPrimary":true, "description": "Solvency Ratio. The percentage of a company's assets that are provided via Debt.", "formula": "Total Liabilities / Total assets", "subDesc": "Percentage based on year values.", "min": "0%", "max": "150%", "good": "35%", "bad": "70%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_43-15", "period": "year", "isPrimary":false, "description": "Solvency Ratio. The percentage of a company's assets that are provided via Debt.", "formula": "Total Liabilities / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_43-16", "period": "year", "isPrimary":false, "description": "Solvency Ratio. The percentage of a company's assets that are provided via Debt.", "formula": "Total Liabilities / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt ratio", "isFinancialResult":false, "submetric": "inc", "id": "id_43-14", "period": "year", "isPrimary":false, "description": "Solvency Ratio. The percentage of a company's assets that are provided via Debt.", "formula": "Total Liabilities / Total assets", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 0.0, "bad": 3.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt ratio (LT Debt ratio)", "isFinancialResult":false, "submetric": "", "id": "id_39-51", "period": "year", "isPrimary":true, "description": "The Long Term Debt to total asset ratio is an indication of what portion of a company's total assets is financed from long-term Debt. The value varies from industry and company.", "formula": "Long-term Debt and Lease / Total assets", "subDesc": "Percentage based on year values.", "min": "0%", "max": "150%", "good": "35%", "bad": "70%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt ratio (LT Debt ratio)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_39-15", "period": "year", "isPrimary":false, "description": "The Long Term Debt to total asset ratio is an indication of what portion of a company's total assets is financed from long-term Debt. The value varies from industry and company.", "formula": "Long-term Debt and Lease / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt ratio (LT Debt ratio)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_39-16", "period": "year", "isPrimary":false, "description": "The Long Term Debt to total asset ratio is an indication of what portion of a company's total assets is financed from long-term Debt. The value varies from industry and company.", "formula": "Long-term Debt and Lease / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt ratio (LT Debt ratio)", "isFinancialResult":false, "submetric": "inc", "id": "id_39-14", "period": "year", "isPrimary":false, "description": "The Long Term Debt to total asset ratio is an indication of what portion of a company's total assets is financed from long-term Debt. 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A financial ratio indicating the relative proportion of equity used to finance a company's assets.", "formula": "Equity / Total assets", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Equity ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_114-16", "period": "year", "isPrimary":false, "description": "Solvency Ratio. A financial ratio indicating the relative proportion of equity used to finance a company's assets.", "formula": "Equity / Total assets", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Equity ratio", "isFinancialResult":false, "submetric": "inc", "id": "id_114-14", "period": "year", "isPrimary":false, "description": "Solvency Ratio. 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The gearing ratio shows how encumbered a company is with debt.", "formula": "Net Debt / Tangible Book Value", "subDesc": "Percentage based on year values.", "min": "-100%", "max": "1000%", "good": "15%", "bad": "100%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt leverage ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_44-54", "period": "year", "isPrimary":true, "description": "Measures a company's ability to repay Debt obligations from annualized EBITDA.", "formula": "Total Debt and Lease / EBITDA", "subDesc": "Ratio based on year values.", "min": 0.01, "max": 25.0, "good": 3.0, "bad": 5.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt leverage ratio", "isFinancialResult":false, "submetric": "b/on on wavg", "id": "id_44-28", "period": "year", "isPrimary":false, "description": "Measures a company's ability to repay Debt obligations from annualized EBITDA.", "formula": "Total Debt and Lease / EBITDA", "subDesc": "Numerator based on year value. br/Denominator must be positive and is based on average over the past years with more weight for more recent years.", "min": 0.01, "max": 25.0, "good": 3.0, "bad": 5.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Debt leverage ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_44-15", "period": "year", "isPrimary":false, "description": "Measures a company's ability to repay Debt obligations from annualized EBITDA.", "formula": "Total Debt and Lease / EBITDA", "subDesc": "Growth percentage against previous year. 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Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt/ Working capital (LT Debt/ WC)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_79-16", "period": "year", "isPrimary":false, "description": "Helpful in determining the degree of reliance by a firm on long-term Debt to finance its day-to-day operations.", "formula": "Long-term Debt and Lease / Net working capital", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Long-term Debt/ Working capital (LT Debt/ WC)", "isFinancialResult":false, "submetric": "inc", "id": "id_79-14", "period": "year", "isPrimary":false, "description": "Helpful in determining the degree of reliance by a firm on long-term Debt to finance its day-to-day operations.", "formula": "Long-term Debt and Lease / Net working capital", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 0.0, "bad": 3.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Net Debt/ EBITDA", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_56-54", "period": "year", "isPrimary":true, "description": "Indicates how many years of EBITDA would be necessary in order to pay back all the Debt.", "formula": "Net Debt / EBITDA", "subDesc": "Ratio based on year values.", "min": -10.0, "max": 25.0, "good": 2.0, "bad": 10.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Net Debt/ EBITDA", "isFinancialResult":false, "submetric": "b/on on wavg", "id": "id_56-28", "period": "year", "isPrimary":false, "description": "Indicates how many years of EBITDA would be necessary in order to pay back all the Debt.", "formula": "Net Debt / EBITDA", "subDesc": "Numerator based on year value. br/Denominator must be positive and is based on average over the past years with more weight for more recent years.", "min": -10.0, "max": 25.0, "good": 2.0, "bad": 10.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Net Debt/ EBITDA", "isFinancialResult":false, "submetric": "1y growth", "id": "id_56-15", "period": "year", "isPrimary":false, "description": "Indicates how many years of EBITDA would be necessary in order to pay back all the Debt.", "formula": "Net Debt / EBITDA", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Net Debt/ EBITDA", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_56-16", "period": "year", "isPrimary":false, "description": "Indicates how many years of EBITDA would be necessary in order to pay back all the Debt.", "formula": "Net Debt / EBITDA", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Net Debt/ EBITDA", "isFinancialResult":false, "submetric": "inc", "id": "id_56-14", "period": "year", "isPrimary":false, "description": "Indicates how many years of EBITDA would be necessary in order to pay back all the Debt.", "formula": "Net Debt / EBITDA", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 0.0, "bad": 3.0, "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "", "id": "id_415-22", "period": "year", "isPrimary":true, "description": "Measures the financial strength of a company.", "formula": "Cash and short-term investments / Total Debt and Lease", "subDesc": "Ratio based on year values.", "min": "0%", "max": "100%", "good": "80%", "bad": "20%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "10y avg", "id": "id_415-96", "period": "year", "isPrimary":false, "description": "Measures the financial strength of a company.", "formula": "Cash and short-term investments / Total Debt and Lease", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "100%", "good": "80%", "bad": "20%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "1y growth", "id": "id_415-15", "period": "year", "isPrimary":false, "description": "Measures the financial strength of a company.", "formula": "Cash and short-term investments / Total Debt and Lease", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_415-16", "period": "year", "isPrimary":false, "description": "Measures the financial strength of a company.", "formula": "Cash and short-term investments / Total Debt and Lease", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "", "id": "id_121-52", "period": "year", "isPrimary":true, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "33%", "bad": "3%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_121-74", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Average of the last 5 year ratios.", "min": "-100%", "max": "100%", "good": "33%", "bad": "3%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_121-96", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Average over the past 10 years.", "min": "-100%", "max": "100%", "good": "33%", "bad": "3%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "wavg/ya", "id": "id_121-53", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "33%", "bad": "3%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_121-139", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Poorest over the past 10 years.", "min": "-100%", "max": "100%", "good": "33%", "bad": "3%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_121-15", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_121-16", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Cash flow coverage Ratio (CF coverage Ratio)", "isFinancialResult":false, "submetric": "inc", "id": "id_121-14", "period": "year", "isPrimary":false, "description": "A type of Debt coverage ratio and is an estimate of the amount of time it would take a company to repay all its liabilities if it devoted all of its cash flow to Debt repayment.", "formula": "Cash Flow from Operations / Total Liabilities", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "", "id": "id_104-52", "period": "year", "isPrimary":true, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "5y avg", "id": "id_104-74", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Average of the last 5 year ratios.", "min": "-100%", "max": "100%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "10y avg", "id": "id_104-96", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Average over the past 10 years.", "min": "-100%", "max": "100%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "wavg/ya", "id": "id_104-53", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year average.", "min": "-100%", "max": "100%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_104-139", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Poorest over the past 10 years.", "min": "-100%", "max": "100%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_104-15", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_104-168", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_104-16", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Free Cash Flow/ Long-term Debt (FCF/ LT Debt)", "isFinancialResult":false, "submetric": "inc", "id": "id_104-14", "period": "year", "isPrimary":false, "description": "Provides an indication of a company's ability to cover long-term Debt with its yearly free cash flow. The higher the percentage ratio the better the company's ability to carry its Debt.", "formula": "Free Cash Flow to the Firm / Long-term Debt and Lease", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_369-54", "period": "year", "isPrimary":true, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "Adjusted Earnings / Interest expense", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio", "isFinancialResult":false, "submetric": "b/on avg5", "id": "id_369-214", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "Adjusted Earnings / Interest expense", "subDesc": "Numerator and Denominator based on average over the past years with more weight for more recent years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio", "isFinancialResult":false, "submetric": "b/on avg10", "id": "id_369-211", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "Adjusted Earnings / Interest expense", "subDesc": "Numerator and Denominator based on average over the past years with more weight for more recent years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio", "isFinancialResult":false, "submetric": "weakest 5y", "id": "id_369-43", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "Adjusted Earnings / Interest expense", "subDesc": "Poorest over the past 5 years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio", "isFinancialResult":false, "submetric": "bottom yield", "id": "id_369-139", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "Adjusted Earnings / Interest expense", "subDesc": "Poorest over the past 10 years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio (ICR)", "isFinancialResult":false, "submetric": "b/on yr", "id": "id_202-54", "period": "year", "isPrimary":true, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "EBIT / Interest expense", "subDesc": "Ratio based on year values.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio (ICR)", "isFinancialResult":false, "submetric": "b/on avg5", "id": "id_202-214", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "EBIT / Interest expense", "subDesc": "Numerator and Denominator based on average over the past years with more weight for more recent years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest Coverage ratio (ICR)", "isFinancialResult":false, "submetric": "b/on avg10", "id": "id_202-211", "period": "year", "isPrimary":false, "description": "The lower the ratio the more the company is burdened by debt expense.", "formula": "EBIT / Interest expense", "subDesc": "Numerator and Denominator based on average over the past years with more weight for more recent years.", "min": 0.0, "max": 20.0, "good": 6.0, "bad": 1.5, "smallIsGood": false}, {"group": "Solvency ratios", "metric": "Interest expense to Debt Ratio", "isFinancialResult":false, "submetric": "", "id": "id_353-52", "period": "year", "isPrimary":true, "description": "Estimates the rate of interest a company is paying on their outstanding debt.", "formula": "Interest expense / Total Debt and Lease", "subDesc": "Percentage based on year values.br/Denominator based on year average.", "min": "0%", "max": "50%", "good": "2%", "bad": "8%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Interest expense to Debt Ratio", "isFinancialResult":false, "submetric": "10y avg", "id": "id_353-96", "period": "year", "isPrimary":false, "description": "Estimates the rate of interest a company is paying on their outstanding debt.", "formula": "Interest expense / Total Debt and Lease", "subDesc": "Average over the past 10 years.", "min": "0%", "max": "50%", "good": "2%", "bad": "8%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Interest expense to Debt Ratio", "isFinancialResult":false, "submetric": "wavg/ya", "id": "id_353-53", "period": "year", "isPrimary":false, "description": "Estimates the rate of interest a company is paying on their outstanding debt.", "formula": "Interest expense / Total Debt and Lease", "subDesc": "Numerator based on average over the past 10 years with more weight for more recent years. br/Denominator based on year average.", "min": "0%", "max": "50%", "good": "2%", "bad": "8%", "smallIsGood": true}, {"group": "Solvency ratios", "metric": "Interest expense to Debt Ratio", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_353-16", "period": "year", "isPrimary":false, "description": "Estimates the rate of interest a company is paying on their outstanding debt.", "formula": "Interest expense / Total Debt and Lease", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear 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Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Price versus Moving Average (Price vs MA)", "isFinancialResult":false, "submetric": "sma20 ", "id": "id_292-143", "period": "year", "isPrimary":false, "description": "Price change from moving average.", "formula": "(Price - Moving Average) / Moving Average", "subDesc": "Price change percentage from 20-day simple moving average", "min": "-50%", "max": "150%", "good": "10%", "bad": "-10%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Price versus Moving Average (Price vs MA)", "isFinancialResult":false, "submetric": "wma30 ", "id": "id_292-144", "period": "year", "isPrimary":false, "description": "Price change from moving average.", "formula": "(Price - Moving Average) / Moving Average", "subDesc": "Price change percentage from 30-day weighted moving average", "min": "-50%", "max": "150%", "good": "10%", "bad": "-10%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Price versus Moving Average (Price vs MA)", "isFinancialResult":false, "submetric": "change  vs sma50", "id": "id_292-12", "period": "year", "isPrimary":false, "description": "Price change from moving average.", "formula": "(Price - 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top) / top", "subDesc": "Price change percentage over quarter.", "min": "-100%", "max": "0%", "good": "-20%", "bad": "-50%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs sma", "isFinancialResult":false, "submetric": "diff vs 52 wk high", "id": "id_371-70", "period": "year", "isPrimary":false, "description": "Price change from top.", "formula": "(Price - top) / top", "subDesc": "Price change percentage from 52 wk high.", "min": "-100%", "max": "0%", "good": "-20%", "bad": "-50%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs sma", "isFinancialResult":false, "submetric": "Price vs 3y", "id": "id_371-243", "period": "year", "isPrimary":false, "description": "Price change from top.", "formula": "(Price - top) / top", "subDesc": "Price change percentage over 3 years.", "min": "-100%", "max": "0%", "good": "-20%", "bad": "-50%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs sma", "isFinancialResult":false, "submetric": "Price vs 5y", "id": "id_371-224", "period": "year", "isPrimary":false, "description": "Price change from top.", "formula": "(Price - top) / top", "subDesc": "Price change percentage over 5 years.", "min": "-100%", "max": "0%", "good": "-20%", "bad": "-50%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs sma", "isFinancialResult":false, "submetric": "Price vs 10y", "id": "id_371-208", "period": "year", "isPrimary":false, "description": "Price change from top.", "formula": "(Price - top) / top", "subDesc": "Price change percentage over 10 years.", "min": "-100%", "max": "0%", "good": "-20%", "bad": "-50%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs bottom", "isFinancialResult":false, "submetric": "diff vs 52 wk low", "id": "id_388-72", "period": "year", "isPrimary":false, "description": "Price change from bottom.", "formula": "(Price - bottom) / bottom", "subDesc": "Price change percentage from 52 wk low.", "min": "0%", "max": "1000%", "good": "200%", "bad": "20%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs bottom", "isFinancialResult":false, "submetric": "Price vs 5y", "id": "id_388-224", "period": "year", "isPrimary":false, "description": "Price change from bottom.", "formula": "(Price - bottom) / bottom", "subDesc": "Price change percentage over 5 years.", "min": "0%", "max": "1000%", "good": "200%", "bad": "20%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs bottom", "isFinancialResult":false, "submetric": "Price vs 10y", "id": "id_388-208", "period": "year", "isPrimary":false, "description": "Price change from bottom.", "formula": "(Price - bottom) / bottom", "subDesc": "Price change percentage over 10 years.", "min": "0%", "max": "1000%", "good": "200%", "bad": "20%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Change vs bottom", "isFinancialResult":false, "submetric": "Price vs 12y", "id": "id_388-209", "period": "year", "isPrimary":false, "description": "Price change from bottom.", "formula": "(Price - bottom) / bottom", "subDesc": "Price change percentage over 12 years.", "min": "0%", "max": "1000%", "good": "200%", "bad": "20%", "smallIsGood": false}, {"group": "Market valuation", "metric": "MACD", "isFinancialResult":false, "submetric": "sma20 vs sma50", "id": "id_290-173", "period": "year", "isPrimary":false, "description": "Normalised MACD. Difference in percentage between price 50-day simple moving average and price 200-day simple moving average.", "subDesc": "Difference in percent between 20-day simple moving average and 50-day moving average.", "min": "-1000%", "max": "1000%", "good": "-10%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "MACD", "isFinancialResult":false, "submetric": "sma20 vs sma200", "id": "id_290-273", "period": "year", "isPrimary":false, "description": "Normalised MACD. Difference in percentage between price 50-day simple moving average and price 200-day simple moving average.", "subDesc": "Difference in percent between 20-day simple moving average and 200-day simple moving average.", "min": "-1000%", "max": "1000%", "good": "-10%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "MACD", "isFinancialResult":false, "submetric": "sma50 vs sma100", "id": "id_290-158", "period": "year", "isPrimary":false, "description": "Normalised MACD. Difference in percentage between price 50-day simple moving average and price 200-day simple moving average.", "subDesc": "Difference in percent between 50-day simple moving average and 100-day simple moving average.", "min": "-1000%", "max": "1000%", "good": "-10%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "MACD", "isFinancialResult":false, "submetric": "sma50 vs sma200", "id": "id_290-157", "period": "year", "isPrimary":false, "description": "Normalised MACD. Difference in percentage between price 50-day simple moving average and price 200-day simple moving average.", "subDesc": "Difference in percent between 50-day simple moving average and 200-day simple moving average.", "min": "-1000%", "max": "1000%", "good": "-10%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "MACD", "isFinancialResult":false, "submetric": "sma100 vs sma200", "id": "id_290-159", "period": "year", "isPrimary":false, "description": "Normalised MACD. Difference in percentage between price 50-day simple moving average and price 200-day simple moving average.", "subDesc": "Difference in percent between 100-day simple moving average and 200-day simple moving average.", "min": "-1000%", "max": "1000%", "good": "-10%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "Cross", "isFinancialResult":false, "submetric": "sma50 vs sma200", "id": "id_414-157", "period": "year", "isPrimary":false, "description": "Cross", "formula": "if differentSign(ma1-ma2 (d-10) ma1-ma2 (d)) growth(ma1-ma2 (d-10) ma1-ma2 (d)) else 0", "subDesc": "Difference in percent between 50-day simple moving average and 200-day simple moving average.", "min": "-10%", "max": "10%", "good": "0%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "RSI", "isFinancialResult":false, "submetric": "14d", "id": "id_291-226", "period": "year", "isPrimary":true, "description": "A momentum indicator that measures the magnitude of recent price changes to analyze overbought or oversold conditions.", "subDesc": "Change percentage over 14 days", "min": 0.0, "max": 100.0, "good": 30.0, "bad": 70.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "RSI", "isFinancialResult":false, "submetric": "30d", "id": "id_291-199", "period": "year", "isPrimary":false, "description": "A momentum indicator that measures the magnitude of recent price changes to analyze overbought or oversold conditions.", "subDesc": "Change percentage over 30 days", "min": 0.0, "max": 100.0, "good": 30.0, "bad": 70.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "RSI", "isFinancialResult":false, "submetric": "60d", "id": "id_291-200", "period": "year", "isPrimary":false, "description": "A momentum indicator that measures the magnitude of recent price changes to analyze overbought or oversold conditions.", "subDesc": "Change percentage over 60 days", "min": 0.0, "max": 100.0, "good": 30.0, "bad": 70.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "RSI", "isFinancialResult":false, "submetric": "125d", "id": "id_291-201", "period": "year", "isPrimary":false, "description": "A momentum indicator that measures the magnitude of recent price changes to analyze overbought or oversold conditions.", "subDesc": "Change percentage over 90 days", "min": 0.0, "max": 100.0, "good": 30.0, "bad": 70.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "Money Flow Index (MFI)", "isFinancialResult":false, "submetric": "14d", "id": "id_558-226", "period": "year", "isPrimary":true, "description": "A technical oscillator that uses price and volume data for identifying overbought or oversold signals in an asset.", "formula": "100 - 100 / (1 Positive Money Flow / Negative Money Flow)", "subDesc": "Change percentage over 14 days", "min": 0.0, "max": 100.0, "good": 30.0, "bad": 70.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "Fractal Efficiency Ratio (ER)", "isFinancialResult":false, "submetric": "year", "id": "id_480-240", "period": "year", "isPrimary":true, "description": "Derived by dividing the net change in price movement over n periods by the sum of all component moves taken as positive numbers over the same n periods.", "formula": "Price change / sum of abs(daily Price change)", "subDesc": "Over a year period.", "min": -1.0, "max": 1.0, "good": 0.2, "bad": 0.0, "smallIsGood": false}, {"group": "Market valuation", "metric": "Beta", "isFinancialResult":false, "submetric": "Beta", "id": "id_390-60", "period": "year", "isPrimary":true, "description": "Equity Beta is a measure of the volatility or systematic risk of a security in comparison to world index. The time period for Beta is 5 years.", "subDesc": "Equity Beta is a measure of the volatility or systematic risk of a security in comparison to world index. The time period for Beta is 5 years (60 months).", "min": 0.5, "max": 2.0, "good": 0.5, "bad": 2.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "Beta", "isFinancialResult":false, "submetric": "5y SD", "id": "id_390-182", "period": "year", "isPrimary":false, "description": "Equity Beta is a measure of the volatility or systematic risk of a security in comparison to world index. The time period for Beta is 5 years.", "subDesc": "Standard Deviation is a measure of spread. (using arithmetic mean)", "min": 0.2, "max": 0.4, "good": 0.2, "bad": 0.4, "smallIsGood": true}, {"group": "Market valuation", "metric": "Beta", "isFinancialResult":false, "submetric": "ind diff", "id": "id_390-126", "period": "year", "isPrimary":false, "description": "Equity Beta is a measure of the volatility or systematic risk of a security in comparison to world index. The time period for Beta is 5 years.", "subDesc": "Relative difference () with industry median.", "min": "-1%", "max": "10%", "good": "-1%", "bad": "10%", "smallIsGood": true}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "30d", "id": "id_357-225", "period": "year", "isPrimary":true, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Change percentage over 30 days", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "30d", "id": "id_357-199", "period": "year", "isPrimary":false, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Change percentage over 30 days", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "60d", "id": "id_357-200", "period": "year", "isPrimary":false, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Change percentage over 60 days", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "125d", "id": "id_357-201", "period": "year", "isPrimary":false, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Change percentage over 90 days", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "year", "id": "id_357-240", "period": "year", "isPrimary":false, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Over a year period.", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sharp ratio", "isFinancialResult":false, "submetric": "Sortini ratio", "id": "id_357-135", "period": "year", "isPrimary":false, "description": "A measure of excess return earned by investment per unit of total risk.", "formula": "(Price CAGR - risk free rate) / Price SD ann.", "subDesc": "Measures the risk-adjusted return of an investment.", "min": -10.0, "max": 10.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Market valuation", "metric": "Sortini ratio", "isFinancialResult":false, "submetric": "Sortini ratio", "id": "id_356-135", "period": "year", "isPrimary":false, "description": "Measures the risk-adjusted return of an investment.", "formula": "(Price CAGR - risk free rate) / Price DR", "subDesc": "Measures the risk-adjusted return of an investment.", "min": -10.0, "max": 10.0, "good": 1.7, "bad": 1.1, "smallIsGood": false}, {"group": "Market valuation", "metric": "Price target", "isFinancialResult":false, "submetric": "per share", "id": "id_277-5", "period": "year", "isPrimary":true, "description": "One year target per outstanding share/receipt existing now. (For ADR per ADR share)", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Market valuation", "metric": "Price target", "isFinancialResult":false, "submetric": "expected growth", "id": "id_277-49", "period": "year", "isPrimary":false, "description": "One year target per outstanding share/receipt existing now. (For ADR per ADR share)", "subDesc": "Expected growth percentage (to target)", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Uncle Stock Price target", "isFinancialResult":false, "submetric": "per share", "id": "id_425-5", "period": "year", "isPrimary":true, "description": "One year target per outstanding share/receipt existing now. (For ADR per ADR share)", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Market valuation", "metric": "Uncle Stock Price target", "isFinancialResult":false, "submetric": "expected growth", "id": "id_425-49", "period": "year", "isPrimary":false, "description": "One year target per outstanding share/receipt existing now. (For ADR per ADR share)", "subDesc": "Expected growth percentage (to target)", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Analyst Price target", "isFinancialResult":false, "submetric": "expected growth", "id": "id_278-49", "period": "year", "isPrimary":false, "description": "Median one year target of analysts per outstanding share/receipt existing now.", "subDesc": "Expected growth percentage (to target)", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Total Return", "isFinancialResult":false, "submetric": "30d change", "id": "id_585-147", "period": "year", "isPrimary":true, "description": "The money earned by an investment each year over a given time period.", "subDesc": "Change percentage over 30 days", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Total Return", "isFinancialResult":false, "submetric": "90d change", "id": "id_585-149", "period": "year", "isPrimary":false, "description": "The money earned by an investment each year over a given time period.", "subDesc": "Change percentage over 90 days", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Total Return", "isFinancialResult":false, "submetric": "180d change", "id": "id_585-150", "period": "year", "isPrimary":false, "description": "The money earned by an investment each year over a given time period.", "subDesc": "Change percentage over 90 days", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Total Return", "isFinancialResult":false, "submetric": "1y growth", "id": "id_585-15", "period": "year", "isPrimary":false, "description": "The money earned by an investment each year over a given time period.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_307-15", "period": "year", "isPrimary":true, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_307-168", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_307-94", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "7y CAGR", "id": "id_307-101", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "10y CAGR", "id": "id_307-145", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "15y CAGR", "id": "id_307-161", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 15-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "20y CAGR", "id": "id_307-268", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 20-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Annualized Total Return (Ann. Total Return)", "isFinancialResult":false, "submetric": "max CAGR", "id": "id_307-190", "period": "year", "isPrimary":false, "description": "The annualized money earned by an investment each year over a given time period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a max-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Volume", "isFinancialResult":false, "submetric": "median volume", "id": "id_375-37", "period": "year", "isPrimary":true, "description": "The total quantity of shares or contracts traded for a specified security.", "subDesc": "Average daily volume."}, {"group": "Market valuation", "metric": "Volume", "isFinancialResult":false, "submetric": "qtr 1q growth", "id": "id_375-Q85", "period": "quarter", "isPrimary":false, "description": "The total quantity of shares or contracts traded for a specified security.", "subDesc": "Growth percentage against previous quarter. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Dollar volume", "isFinancialResult":false, "submetric": "dollar volume", "id": "id_376-87", "period": "year", "isPrimary":true, "description": "The total value of the shares traded.", "formula": "median of Volume Price USD", "subDesc": "Dollar Volume Liquidity. A stock's share price times its average volume."}, {"group": "Market valuation", "metric": "Dollar volume", "isFinancialResult":false, "submetric": "1y growth", "id": "id_376-15", "period": "year", "isPrimary":false, "description": "The total value of the shares traded.", "formula": "median of Volume Price USD", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Dollar volume", "isFinancialResult":false, "submetric": "qtr 1y growth", "id": "id_376-Q15", "period": "quarter", "isPrimary":false, "description": "The total value of the shares traded.", "formula": "median of Volume Price USD", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Dollar volume", "isFinancialResult":false, "submetric": "qtr 1q growth", "id": "id_376-Q85", "period": "quarter", "isPrimary":false, "description": "The total value of the shares traded.", "formula": "median of Volume Price USD", "subDesc": "Growth percentage against previous quarter. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Market valuation", "metric": "Market cap", "isFinancialResult":false, "submetric": "amount", "id": "id_391-4", "period": "year", "isPrimary":true, "description": "The total value of all a company's shares of stock.", "formula": "Price Adjusted Total Common Shares Outstanding", "bad": 0.0, "smallIsGood": false}, {"group": "Market valuation", "metric": "Enterprise Value (EV)", "isFinancialResult":false, "submetric": "amount", "id": "id_23-4", "period": "year", "isPrimary":true, "description": "Think of enterprise value as the theoretical takeover price. Also called firm value or total enterprise value (TEV).", "formula": "Market cap Net Debt Non-Controlling Interest Preferred stock", "good": 0.0, "smallIsGood": true}, {"group": "Market valuation", "metric": "Enterprise Value' (EV')", "isFinancialResult":false, "submetric": "amount", "id": "id_468-4", "period": "year", "isPrimary":true, "description": "Think of enterprise value as the theoretical takeover price. Also called firm value or total enterprise value (TEV). Classic formula.", "formula": "Market cap Net Debt' Preferred stock Non-Controlling Interest", "good": 0.0, "smallIsGood": true}, {"group": "Value", "metric": "Intrinsic Value (IV)", "isFinancialResult":false, "submetric": "amount", "id": "id_41-4", "period": "year", "isPrimary":false, "description": "The value of a security which is fair (intrinsic) to or contained in the security itself.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (IV)", "isFinancialResult":false, "submetric": "per share", "id": "id_41-5", "period": "year", "isPrimary":true, "description": "The value of a security which is fair (intrinsic) to or contained in the security itself.", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (DCF FCF) (IV (DCF Free Cash Flow))", "isFinancialResult":false, "submetric": "per share", "id": "id_136-5", "period": "year", "isPrimary":false, "description": "Intrinsic equity value based on discounted cash flow (DCF) analysis which uses future free cash flow projections and discounts them to arrive at a present firm value.", "formula": "Firm value as sum of all future Free Cash Flow to the Firm (assuming 5 years growth estimate 0 growth afterwards) - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (DCF FCF) (IV (DCF Free Cash Flow))", "isFinancialResult":false, "submetric": "1y growth", "id": "id_136-15", "period": "year", "isPrimary":false, "description": "Intrinsic equity value based on discounted cash flow (DCF) analysis which uses future free cash flow projections and discounts them to arrive at a present firm value.", "formula": "Firm value as sum of all future Free Cash Flow to the Firm (assuming 5 years growth estimate 0 growth afterwards) - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (DCF FCF) (IV (DCF Free Cash Flow))", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_136-16", "period": "year", "isPrimary":false, "description": "Intrinsic equity value based on discounted cash flow (DCF) analysis which uses future free cash flow projections and discounts them to arrive at a present firm value.", "formula": "Firm value as sum of all future Free Cash Flow to the Firm (assuming 5 years growth estimate 0 growth afterwards) - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (Buffet) (IV (Buffet))", "isFinancialResult":false, "submetric": "per share", "id": "id_211-5", "period": "year", "isPrimary":true, "description": "Intrinsic equity value as the sum of cash that can be taken out of the business over the next ten years.", "formula": "Present value of 10 years of Traditional Gross Dividend present value of Common Book Value over 10 years", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Earnings Power Value of Equity (EPV Equity)", "isFinancialResult":false, "submetric": "per share", "id": "id_186-5", "period": "year", "isPrimary":false, "description": "Equity value based on Earnings Power Value.", "formula": "Earnings Power Value of Firm - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Earnings Power Value of Equity (EPV Equity)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_186-15", "period": "year", "isPrimary":false, "description": "Equity value based on Earnings Power Value.", "formula": "Earnings Power Value of Firm - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Earnings Power Value of Equity (EPV Equity)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_186-16", "period": "year", "isPrimary":false, "description": "Equity value based on Earnings Power Value.", "formula": "Earnings Power Value of Firm - Net Debt - Non-Controlling Interest - Preferred stock", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "After-Tax Cost of Debt", "isFinancialResult":false, "submetric": "", "id": "id_392-1", "period": "year", "isPrimary":true, "description": "The effective interest rate a company pays on its debts.", "formula": "(Bond rate 0.25 (4 Financial health score)) (1 - Marginal tax rate)", "min": "0%", "max": "10%", "good": "4%", "bad": "5%", "smallIsGood": true}, {"group": "Value", "metric": "Weighted average cost of capital (WACC)", "isFinancialResult":false, "submetric": "", "id": "id_138-1", "period": "year", "isPrimary":true, "description": "The weighted average cost of capital (WACC) is calculation of a firm's cost of capital in which each category of capital is proportionately weighted.", "formula": "Equity ratio Cost of Equity (CAPM) Debt financing ratio After-Tax Cost of Debt", "min": "1%", "max": "20%", "good": "5%", "bad": "9%", "smallIsGood": true}, {"group": "Value", "metric": "Cost of Equity (CAPM)", "isFinancialResult":false, "submetric": "", "id": "id_143-22", "period": "year", "isPrimary":true, "description": "A shareholder's required rate of return on an equity investment. Under Capital Asset Pricing Model (CAPM).", "formula": "riskFreeRate Beta Equity Risk Premium", "subDesc": "Ratio based on year values.", "min": "-66%", "max": "40%", "good": "1%", "bad": "14%", "smallIsGood": true}, {"group": "Value", "metric": "Cost of Equity (DDM)", "isFinancialResult":false, "submetric": "", "id": "id_142-22", "period": "year", "isPrimary":true, "description": "A shareholder's required rate of return on an equity investment. Under Dividend Discount Model.", "formula": "Dividend yield Traditional Gross Dividend CAGR", "subDesc": "Ratio based on year values.", "min": "-66%", "max": "40%", "good": "1%", "bad": "14%", "smallIsGood": true}, {"group": "Value", "metric": "Intrinsic Value (Graham) (IV (Graham))", "isFinancialResult":false, "submetric": "per share", "id": "id_96-5", "period": "year", "isPrimary":true, "description": "The value of a security which is intrinsic to or contained in the security itself. Intrinsic Value according the formula proposed by investor and professor Benjamin Graham often referred to as the father of value investing.", "formula": "Net Income Available for Common Shareholders (7 100 ln(Net Income Available for Common Shareholders rCAGR 67 1) - 1) 4.4 / 20 year A corporate rate", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (Graham) (IV (Graham))", "isFinancialResult":false, "submetric": "1y growth", "id": "id_96-15", "period": "year", "isPrimary":false, "description": "The value of a security which is intrinsic to or contained in the security itself. Intrinsic Value according the formula proposed by investor and professor Benjamin Graham often referred to as the father of value investing.", "formula": "Net Income Available for Common Shareholders (7 100 ln(Net Income Available for Common Shareholders rCAGR 67 1) - 1) 4.4 / 20 year A corporate rate", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Intrinsic Value (Graham) (IV (Graham))", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_96-16", "period": "year", "isPrimary":false, "description": "The value of a security which is intrinsic to or contained in the security itself. Intrinsic Value according the formula proposed by investor and professor Benjamin Graham often referred to as the father of value investing.", "formula": "Net Income Available for Common Shareholders (7 100 ln(Net Income Available for Common Shareholders rCAGR 67 1) - 1) 4.4 / 20 year A corporate rate", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Graham number", "isFinancialResult":false, "submetric": "amount", "id": "id_111-4", "period": "year", "isPrimary":false, "description": "Measures a stock's so-called fair value.", "formula": "sqrt(22.5 Net Income Available for Common Shareholders Tangible Book Value)", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Graham number", "isFinancialResult":false, "submetric": "per share", "id": "id_111-5", "period": "year", "isPrimary":true, "description": "Measures a stock's so-called fair value.", "formula": "sqrt(22.5 Net Income Available for Common Shareholders Tangible Book Value)", "subDesc": "Per outstanding common share/receipt. Year average for income and cashlow. End of period for balance. For ADR/GDR per ADR/GDR share.", "bad": 0.0, "smallIsGood": false}, {"group": "Value", "metric": "Graham number", "isFinancialResult":false, "submetric": "1y growth", "id": "id_111-15", "period": "year", "isPrimary":false, "description": "Measures a stock's so-called fair value.", "formula": "sqrt(22.5 Net Income Available for Common Shareholders Tangible Book Value)", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Graham number", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_111-16", "period": "year", "isPrimary":false, "description": "Measures a stock's so-called fair value.", "formula": "sqrt(22.5 Net Income Available for Common Shareholders Tangible Book Value)", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "1y growth", "id": "id_314-15", "period": "year", "isPrimary":true, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_314-168", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_314-94", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "7y CAGR", "id": "id_314-101", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "10y CAGR", "id": "id_314-145", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "15y CAGR", "id": "id_314-161", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 15-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "20y CAGR", "id": "id_314-268", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 20-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Total Owner return", "isFinancialResult":false, "submetric": "max CAGR", "id": "id_314-190", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a max-year period.", "min": "-50%", "max": "100%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "1y growth", "id": "id_316-15", "period": "year", "isPrimary":true, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "3y CAGR", "id": "id_316-168", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_316-94", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "7y CAGR", "id": "id_316-101", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "10y CAGR", "id": "id_316-145", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "15y CAGR", "id": "id_316-161", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 15-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "20y CAGR", "id": "id_316-268", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 20-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Value", "metric": "Net Owner return", "isFinancialResult":false, "submetric": "max CAGR", "id": "id_316-190", "period": "year", "isPrimary":false, "description": "The actual rate of return of an investment over a given evaluation period.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a max-year period.", "min": "-50%", "max": "100%", "good": "5%", "bad": "-5%", "smallIsGood": false}, {"group": "Shares", "metric": "Total shares outstanding (TSO)", "isFinancialResult":false, "submetric": "number", "id": "id_221-0", "period": "year", "isPrimary":true, "description": "Total number of shares that have been authorized issued and purchased by investors and are held by them. Refers to real home-country shares.", "formula": "Total Common Shares Outstanding Preferred stock / Capital stock"}, {"group": "Shares", "metric": "Total Common Shares Outstanding (TCSO)", "isFinancialResult":false, "submetric": "number", "id": "id_4-0", "period": "year", "isPrimary":true, "description": "Total number of common shares that have been authorized issued and purchased by investors and are held by them. Refers to real home-country shares."}, {"group": "Shares", "metric": "Adjusted Total Common Shares Outstanding (Adj. C Shares)", "isFinancialResult":false, "submetric": "number", "id": "id_518-0", "period": "year", "isPrimary":true, "description": "Total Common Shares Outstanding adjusted with a factor to be usable to transform between company metrics and stock metrics as needed for depository receipts (ADR GDR) and multiple share classes. Not diluted."}, {"group": "Shares", "metric": "Adjusted Total Common Shares Outstanding (Adj. C Shares)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_518-15", "period": "year", "isPrimary":false, "description": "Total Common Shares Outstanding adjusted with a factor to be usable to transform between company metrics and stock metrics as needed for depository receipts (ADR GDR) and multiple share classes. Not diluted.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "number", "id": "id_2-0", "period": "year", "isPrimary":true, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted."}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "1y growth", "id": "id_2-15", "period": "year", "isPrimary":false, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "5y CAGR", "id": "id_2-94", "period": "year", "isPrimary":false, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "10y CAGR", "id": "id_2-145", "period": "year", "isPrimary":false, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "15y rCAGR", "id": "id_2-16", "period": "year", "isPrimary":false, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted.", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Weighted average shares outstanding (WASO)", "isFinancialResult":false, "submetric": "20y CAGR", "id": "id_2-268", "period": "year", "isPrimary":false, "description": "The weighted average number of shares or units issued and outstanding that are used by the company to calculate EPS. Diluted.", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 20-year period.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Float Percentage Of Total Shares Outstanding (Float )", "isFinancialResult":false, "submetric": "", "id": "id_231-123", "period": "year", "isPrimary":true, "description": "The percentage of total Shares Outstanding which are freely floated on the stock exchange.", "formula": "Floating Stock / Adjusted Total Common Shares Outstanding", "subDesc": "Percentage ratio of numbers.", "min": "0%", "max": "100%", "good": "80%", "bad": "30%", "smallIsGood": false}, {"group": "Shares", "metric": "Share turnover", "isFinancialResult":false, "submetric": "", "id": "id_288-140", "period": "year", "isPrimary":true, "description": "Measure of stock liquidity calculated by dividing the total number of shares traded over a period by the average number of shares outstanding for the period.", "formula": "Volume / Weighted average shares outstanding", "subDesc": "Percentage ratio of numbers.", "min": "0%", "max": "100%", "good": "10%", "bad": "1%", "smallIsGood": false}, {"group": "Shares", "metric": "Short Shares", "isFinancialResult":false, "submetric": "number", "id": "id_601-0", "period": "year", "isPrimary":true, "description": "Total number of shares of a stock that investors have borrowed and sold betting the price will decline.", "formula": "Short Percentage of Float Floating Stock"}, {"group": "Shares", "metric": "Short Percentage of Float (Short )", "isFinancialResult":false, "submetric": "", "id": "id_228-1", "period": "year", "isPrimary":true, "description": "The percentage of shares shorted compared to the float.", "min": "0%", "max": "100%", "good": "10%", "bad": "20%", "smallIsGood": true}, {"group": "Shares", "metric": "Short Percentage of Float (Short )", "isFinancialResult":false, "submetric": "1y growth", "id": "id_228-15", "period": "year", "isPrimary":false, "description": "The percentage of shares shorted compared to the float.", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "-10%", "bad": "0%", "smallIsGood": true}, {"group": "Shares", "metric": "Days to Cover", "isFinancialResult":false, "submetric": "ratio", "id": "id_134-57", "period": "year", "isPrimary":true, "description": "The number of shares sold short (short interest) divided by average daily volume. This is often called the Short-Interest ratio.", "formula": "Short Shares / Volume", "subDesc": "Ratio of numbers", "min": 0.0, "max": 50.0, "good": 1.0, "bad": 8.0, "smallIsGood": true}, {"group": "Shares", "metric": "Held by Insiders", "isFinancialResult":false, "submetric": "", "id": "id_127-1", "period": "year", "isPrimary":true, "description": "The percentage of shares outstanding held by insiders. An insider is a person who has potential access to non-public information about the company.", "min": "0%", "max": "80%", "good": "15%", "bad": "5%", "smallIsGood": false}, {"group": "Shares", "metric": "Held by Insiders", "isFinancialResult":false, "submetric": "1y growth", "id": "id_127-15", "period": "year", "isPrimary":false, "description": "The percentage of shares outstanding held by insiders. An insider is a person who has potential access to non-public information about the company.", "subDesc": "Growth percentage against previous year. 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Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBITDA", "isFinancialResult":true, "submetric": "qtr 1q growth", "id": "id_29-Q85", "period": "quarter", "isPrimary":false, "description": "Earnings Before Interest Taxes Depreciation and Amortization. Comparable to Cash Flow from Operations except that EBITDA does not account for changes in working capital as does operating cash flow.", "formula": "EBIT Depreciation and amortization", "subDesc": "Growth percentage against previous quarter. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBITDA", "isFinancialResult":true, "submetric": "amount", "id": "id_319-4", "period": "year", "isPrimary":true, "description": "Measures a companys full profitability before reducing it by interest taxes and amortization considerations and so is useful for calculating a companys internal efficiency or profitability ratio.", "formula": "EBIT Amortization", "bad": 0.0, "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "amount", "id": "id_28-4", "period": "year", "isPrimary":true, "description": "Earnings Before Interest and Taxes. 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An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "3y CAGR", "id": "id_28-168", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 7-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "5y CAGR", "id": "id_28-94", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 5-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "5y rCAGR", "id": "id_28-189", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Compound Annual Growth Rate (CAGR) over a 5-year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "10y CAGR", "id": "id_28-145", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Compound Annual Growth Rate (CAGR) calculated by taking the geometric mean annual growth rate over a 10-year period.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "15y rCAGR", "id": "id_28-16", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Compound Annual Growth Rate (CAGR) over a 15 year period calculated using the slope as result of log-linear regression.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "15y rCAGR 67", "id": "id_28-113", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Conservative Compound Annual Growth Rate based on 15y rCAGR and GSD with 67 probability to be better.", "min": "-66%", "max": "200%", "good": "4%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "15y R2", "id": "id_28-111", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Coefficient of Determination assesses how well the rCAGR explains and predicts future outcomes. 0 is unpredictable. 1 is predictable without error.", "min": 0.0, "max": 1.0, "good": 0.8, "bad": 0.2, "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "inc", "id": "id_28-14", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Number of positive and increasing past year values minus number of decreasing past year values.", "min": -10.0, "max": 10.0, "good": 3.0, "bad": 0.0, "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "diff 5y avg", "id": "id_28-259", "period": "year", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Relative difference between last year and average over the last 5 years.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "qtr 1y growth", "id": "id_28-Q15", "period": "quarter", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "EBIT", "isFinancialResult":true, "submetric": "qtr 1q growth", "id": "id_28-Q85", "period": "quarter", "isPrimary":false, "description": "Earnings Before Interest and Taxes. An indicator of a company's profitability calculated as revenue minus expenses excluding tax and interest.", "formula": "Income before tax Interest expense", "subDesc": "Growth percentage against previous quarter. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "Adjusted EBIT", "isFinancialResult":true, "submetric": "amount", "id": "id_184-4", "period": "year", "isPrimary":true, "description": "Normalized EBIT adjusted for Research & Development and Selling General and Administrative expenses.", "formula": "Normalized EBIT 0.25 Research & Development 0.25 Selling General and Administrative expenses", "bad": 0.0, "smallIsGood": false}, {"group": "Income", "metric": "Adjusted EBIT", "isFinancialResult":true, "submetric": "qtr 1y growth", "id": "id_184-Q15", "period": "quarter", "isPrimary":false, "description": "Normalized EBIT adjusted for Research & Development and Selling General and Administrative expenses.", "formula": "Normalized EBIT 0.25 Research & Development 0.25 Selling General and Administrative expenses", "subDesc": "Growth percentage against previous year. Also for negative values.", "min": "-66%", "max": "200%", "good": "10%", "bad": "0%", "smallIsGood": false}, {"group": "Income", "metric": "Adjusted EBIT", "isFinancialResult":true, "submetric": "qtr 1q growth", "id": "id_184-Q85", "period": "quarter", "isPrimary":false, "description": "Normalized EBIT adjusted for Research & Development and Selling General and Administrative expenses.", "formula": "Normalized EBIT 0.25 Research & Development 0.25 Selling General and Administrative expenses", "subDesc": "Growth percentage against previous quarter. 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