Graf Akcie IMMR (Immersion Corp). Diskuze k akciím IMMR. Aktuální informace IMMR.

Základní informace o společnosti Immersion Corp (Akcie IMMR)

Skvělé pro velmi rychlou analýzu společnosti. Investor může porovnat různé ukazatele s konkurenčními firmami.

Tržní kapitalizace 223.09M
Hodnota podniku (EV) 118.77M
Tržby 36.7M
EBITDA 17.001M
Zisk 18.318M
Růst v tržbách Q/Q 94.25 %
Růst v tržbách Y/Y 7.90 %
P/E (Cena vůči ziskům) 11.00
Forward P/E 42.94
EV/Sales 3.24
EV/EBITDA 6.99
EV/EBIT 7.14
PEG 3.02
Price/Sales 6.08
P/FCF 16.24
Price/Book 3.49
Účetní hodnota na akcii 1.99
Hotovost na akcii 1.85
FCF vůči ceně 6.16 %
Počet zaměstnanců 54
Tržba na zaměstnance 679.630k
Profit margin 17.73 %
Operating margin 43.94 %
Gross margin 99.45 %
EBIT margin 45.31 %
EBITDA margin 46.32 %
EPS - Zisk na akcii 0.63
EPS - Kvartální růst 666.67 %
EPS - Očekávaný růst příští rok 13.33 %
Return on assets 15.86 %
Return on equity 21.87 %
ROIC 2.86 %
ROCE 12.58 %
Dluhy/Equity 0.50
Čistý dluh/EBITDA -19.14
Current ratio 12.50
Quick Ratio 12.50
Volatilita 3.20
Beta 1.44
RSI 48.26
Cílová cena analytiků 13
Známka akcie (dle analytiků) N/A
Insider ownership 3.42 %
Institutional ownership 71.10 %
Počet akcií 32.903M
Procento shortovaných akcií 4.44 %
Short ratio 1.94 %
Dividenda N/A
Procentuální dividenda N/A %
Dividenda/Zisk N/A %
Obchodovaná od 1999
Země United States

Finanční výsledky akcie IMMR

Finanční výsledky společnosti, napoví investorovi, zda se jedná o kvalitní společnost.

# 2020 2019 2018 2017 2016 2015
Revenue$35.953$110.979$35.013$57.086$63.393$52.937
Cost Of Goods Sold$0.17$0.218$0.197$0.197$0.46$0.46
Gross Profit$35.783$110.761$34.816$56.889$62.933$52.477
Research And Development Expenses$7.84$9.727$11.759$13.388$14.785$11.793
SG&A Expenses$49.394$47.933$66.859$58.764$43.429$34.65
Other Operating Income Or Expenses------
Operating Expenses$57.404$57.878$80.435$72.349$58.674$46.97
Operating Income$-21.451$53.101$-45.422$-15.263$4.719$5.967
Total Non-Operating Income/Expense$1.878$1.634$0.611$0.754$-0.27$0.352
Pre-Tax Income$-19.573$54.735$-44.811$-14.509$4.449$6.319
Income Taxes$0.471$0.392$0.48$25.521$1.591$2.196
Income After Taxes$-20.044$54.343$-45.291$-40.03$2.858$4.123
Other Income------
Income From Continuous Operations$-20.044$54.343$-45.291$-40.03$2.858$4.123
Income From Discontinued Operations---$0.649--
Net Income$-20.044$54.343$-45.291$-39.381$2.858$4.123
EBITDA$-19.254$53.956$-44.454$-14.353$5.735$6.534
EBIT$-21.451$53.101$-45.422$-15.263$4.719$5.967
Basic Shares Outstanding323029292828
Shares Outstanding323129292929
Basic EPS$-0.64$1.78$-1.55$-1.37$0.10$0.15
EPS - Earnings Per Share$-0.64$1.73$-1.55$-1.37$0.10$0.14
# 2020 2019 2018 2017 2016 2015
Current Ratio9.04688.85142.51734.47294.53965.6128
Long-term Debt / Capital------
Debt/Equity Ratio------
Gross Margin99.527299.803699.437499.654999.274499.131
Operating Margin-59.66447.8478-129.729-26.73697.44411.2719
EBIT Margin-59.66447.8478-129.729-26.73697.44411.2719
EBITDA Margin-53.553348.6182-126.9643-25.14289.046712.343
Pre-Tax Profit Margin-54.440549.3201-127.9839-25.4167.018111.9368
Net Profit Margin-55.750648.9669-129.3548-68.98544.50847.7885
Asset Turnover0.2880.76020.67370.55010.60140.5428
Inventory Turnover Ratio------
Receiveable Turnover10.6213105.593743.440541.306852.261317.523
Days Sales In Receivables34.3653.45668.40238.83636.984120.8298
ROE - Return On Equity-23.931154.5284-468.9963-72.33473.29975.3823
Return On Tangible Equity-23.931154.5284-486.3203-72.81493.30975.4028
ROA - Return On Assets-16.054737.2225-87.14-38.57682.71124.2278
ROI - Return On Investment-23.931154.5284-468.9966-72.33473.29975.3823
Book Value Per Share2.66623.23270.331.91373.05752.764
Operating Cash Flow Per Share-3.30793.7285-2.26850.42020.3362-0.711
Free Cash Flow Per Share-3.31033.7304-2.26090.5610.2102-0.7297