PLTR

Palantir Technologies Inc.

PLTR | NASDAQ Global Select

80.55USD6.34 %

Market Value Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312020-12-312019-12-312018-12-31
Price-to-Earnings ratio (P/E)
380.3
%116.42
175.73
%-595.64
-35.45
%-47.33
-67.31
%86.03
-36.18
%27.86
-28.3
%142.03
-11.69
Price to Sales Ratio (P/S)
69.34
%318.42
16.57
%138.37
6.95
%-69.40
22.72
%-41.18
38.63
%74.85
22.09
%93.94
11.39
Price-to-Cash Flow ratio (P/CF)
182.2
%251.93
51.77
%-12.57
59.22
%-43.56
104.92
%-173.74
-142.29
%43.32
-99.29
%-42.89
-173.84
Price to Free Cash Flow Ratio (PFCF)
187.18
%253.86
52.9
%-26.66
72.12
%-33.86
109.05
%-179.80
-136.65
%48.55
-91.99
%-29.44
-130.38
Price to Book (PB) Ratio
40.29
%279.80
10.61
%105.40
5.16
%-66.22
15.29
%-44.84
27.72
%-434.70
-8.28
%113.88
-3.87
Dividend Yield
0
0
0
0
0
0
0
Payout Ratio
0
0
0
0
0
0
0
Price Earnings to Growth Ratio (PEG)
22.82
%-2103.30
-1.14
%-207.09
1.06
%-7.62
1.15
%-390.14
-0.3969
%-181.37
0.4877
0
Enterprise Value Multiplier
460.09
%94.49
236.56
%-825.83
-32.59
%-53.58
-70.22
%98.82
-35.32
%24.01
-28.48
%178.32
-10.23
Price Fair Value
40.29
%279.80
10.61
%105.40
5.16
%-66.22
15.29
%-44.84
27.72
%-434.70
-8.28
%113.88
-3.87

Efficiency Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312020-12-312019-12-312018-12-31
Receivables Turnover
3.96
%-35.06
6.1
%-17.32
7.38
%-8.65
8.08
%15.99
6.96
%-52.82
14.76
%-52.44
31.03
Inventory Turnover
0
0
25.15
%171.42
9.27
%-2.00
9.46
%103.25
4.65
%-70.51
15.78
Fixed Asset Turnover
10.5
%8.88
9.65
%36.38
7.07
%13.88
6.21
%40.21
4.43
%-81.15
23.51
%18.57
19.82
Operating Cycle
92.15
%53.99
59.84
%-6.48
63.99
%-24.35
84.59
%-7.07
91.02
%-11.79
103.19
%195.69
34.9
Cash Conversion Cycle (CCC)
72.43
%46.09
49.58
%106.78
23.98
%494.92
4.03
%-94.56
74.09
%193.07
25.28
%-198.89
-25.57
Days of Sales Outstanding (DSO)
92.15
%53.99
59.84
%20.95
49.48
%9.47
45.2
%-13.78
52.42
%111.96
24.73
%110.27
11.76
Days of Inventory Outstanding (DIO)
0
0
14.51
%-63.16
39.39
%2.04
38.6
%-50.80
78.46
%239.12
23.14
Days of Payables Outstanding (DPO)
19.72
%92.16
10.26
%-74.35
40.01
%-50.33
80.56
%375.66
16.94
%-78.26
77.91
%28.86
60.46
Payables Turnover
18.51
%-47.96
35.56
%289.88
9.12
%101.32
4.53
%-78.98
21.55
%360.03
4.68
%-22.39
6.04

Cash Flow Ratio

Annual
Breakdown2024-12-222023-12-312022-12-312021-12-312020-12-312019-12-312018-12-31
Operating Cash Flow Sales Ratio
0.3759
%17.43
0.3201
%172.66
0.1174
%-45.78
0.2165
%-179.76
-0.2715
%22.00
-0.2225
%239.58
-0.0655
Free Cash Flow Operating Cash Flow Ratio
0.9855
%0.69
0.9788
%19.20
0.8211
%-14.66
0.9622
%-7.59
1.04
%-3.52
1.08
%-19.06
1.33
Cash Flow Coverage Ratios
20.88
%58.84
13.15
%164.98
4.96
%-40.67
8.36
%-740.08
-1.31
%213.16
-0.4171
0
Short Term Coverage Ratios
20.88
%58.84
13.15
%164.98
4.96
%-40.67
8.36
%-181.98
-10.2
0
0
Capital Expenditure Coverage Ratio
69.13
%46.72
47.12
%743.00
5.59
%-78.86
26.44
%-209.07
-24.24
%92.15
-12.62
%320.52
-3
Dividend Paid and Capex Coverage Ratio
69.13
%46.72
47.12
%743.00
5.59
%-78.86
26.44
%-209.07
-24.24
%92.15
-12.62
%320.52
-3
Cash per Share
2.03
%18.57
1.71
%34.07
1.28
%-2.77
1.31
%16.95
1.12
%79.57
0.6250
%-60.03
1.56
Free Cashflow per Share
0.4357
%34.22
0.3246
%264.66
0.0890
%-46.69
0.1670
%-196.90
-0.1723
%66.88
-0.1033
%41.73
-0.0729
Operating Cashflow per Share
0.4421
%33.30
0.3316
%205.91
0.1084
%-37.53
0.1736
%-204.86
-0.1655
%72.97
-0.0957
%75.09
-0.0546