Graf Akcie SREV (ServiceSource International Inc). Diskuze k akciím SREV. Aktuální informace SREV.

Základní informace o společnosti ServiceSource International Inc (Akcie SREV)

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

Tržní kapitalizace 132.39M
Hodnota podniku (EV) 115.65M
Tržby 188.179M
EBITDA 7.58M
Zisk -21.17
Růst v tržbách Q/Q -2.79 %
Růst v tržbách Y/Y -8.66 %
P/E (Cena vůči ziskům) N/A
Forward P/E N/A
EV/Sales 0.61
EV/EBITDA 15.26
EV/EBIT N/A
PEG N/A
Price/Sales 0.70
P/FCF N/A
Price/Book 1.76
Účetní hodnota na akcii 0.77
Hotovost na akcii 0.35
FCF vůči ceně -2.87 %
Počet zaměstnanců 2,800
Tržba na zaměstnance 67.207k
Profit margin -9.53 %
Operating margin -9.74 %
Gross margin 29.58 %
EBIT margin -9.74 %
EBITDA margin 4.03 %
EPS - Zisk na akcii N/A
EPS - Kvartální růst -50.00 %
EPS - Očekávaný růst příští rok 100.00 %
Return on assets -14.43 %
Return on equity -29.66 %
ROIC -10.54 %
ROCE -20.70 %
Dluhy/Equity 1.03
Čistý dluh/EBITDA 8.09
Current ratio 1.59
Quick Ratio 1.59
Volatilita 3.09
Beta 1.37
RSI 46.86
Cílová cena analytiků 2
Známka akcie (dle analytiků) N/A
Insider ownership 2.38 %
Institutional ownership 73.67 %
Počet akcií 97.876M
Procento shortovaných akcií 0.65 %
Short ratio 2.14 %
Dividenda N/A
Procentuální dividenda N/A %
Dividenda/Zisk N/A %
Obchodovaná od 2011
Země United States

Finanční výsledky akcie SREV

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

# 2020 2019 2018 2017 2016 2015
Revenue$194.601$216.135$238.34$239.127$252.887$252.203
Cost Of Goods Sold$137.041$153.155$164.693$163.709$165.069$171.369
Gross Profit$57.56$62.98$73.647$75.418$87.818$80.834
Research And Development Expenses$5.602$4.848$6.436$5.729$8.344$16.48
SG&A Expenses$66.969$73.217$82.888$86.088$94.967$90.385
Other Operating Income Or Expenses------
Operating Expenses$211.154$233.149$254.226$262.834$268.38$281.896
Operating Income$-16.553$-17.014$-15.886$-23.707$-15.493$-29.693
Total Non-Operating Income/Expense$-1.279$-1.226$-8.549$-7.786$-13.204$-9.316
Pre-Tax Income$-17.832$-18.24$-24.435$-31.493$-28.697$-39.009
Income Taxes$0.709$0.443$0.45$-1.647$3.429$1.584
Income After Taxes$-18.541$-18.683$-24.885$-29.846$-32.126$-40.593
Other Income------
Income From Continuous Operations$-18.541$-18.683$-24.885$-29.846$-32.126$-40.593
Income From Discontinued Operations------
Net Income$-18.541$-18.683$-24.885$-29.846$-32.126$-40.593
EBITDA$8.216$7.654$7.043$8.261$10.374$-7.909
EBIT$-16.553$-17.014$-15.886$-23.707$-15.493$-29.693
Basic Shares Outstanding969492898685
Shares Outstanding969492898685
Basic EPS$-0.19$-0.20$-0.27$-0.33$-0.37$-0.48
EPS - Earnings Per Share$-0.19$-0.20$-0.27$-0.33$-0.37$-0.48
# 2020 2019 2018 2017 2016 2015
Current Ratio1.6512.09593.06561.4066.76997.3714
Long-term Debt / Capital----0.5150.4604
Debt/Equity Ratio0.1993--1.2861.06180.8532
Gross Margin29.578529.139230.931.538934.726232.0512
Operating Margin-8.5061-7.8719-6.6653-9.914-6.1265-11.7735
EBIT Margin-8.5061-7.8719-6.6653-9.914-6.1265-11.7735
EBITDA Margin4.2223.54132.9553.45464.1022-3.136
Pre-Tax Profit Margin-9.1634-8.4392-10.2522-13.17-11.3478-15.4673
Net Profit Margin-9.5277-8.6441-10.441-12.4812-12.7037-16.0954
Asset Turnover1.27511.33861.74510.80960.82620.7942
Inventory Turnover Ratio------
Receiveable Turnover5.00395.17644.39064.23113.99574.4588
Days Sales In Receivables72.943470.512583.131986.265291.347181.8606
ROE - Return On Equity-24.6307-21.1258-24.4371-26.6223-25.3088-27.4323
Return On Tangible Equity-26.8936-22.7556-26.0579-28.2392-26.9957-29.3025
ROA - Return On Assets-12.149-11.571-18.2201-10.1046-10.4956-12.7826
ROI - Return On Investment-24.6307-21.1258-24.4371-26.6223-12.2754-14.8029
Book Value Per Share0.7750.93241.09761.24211.43951.7053
Operating Cash Flow Per Share-0.12840.092-0.18130.17030.00950.3288
Free Cash Flow Per Share-0.10270.1546-0.15980.2836-0.15540.3015