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Taoping Inc.
TAOP | NASDAQ Capital Market
0.4078USD0.0908 %
Market Value Ratio
Annual
Breakdown | 2024-12-22 | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 |
---|
Price-to-Earnings ratio (P/E)
0.9602
%-124.19 -3.97
%-77.18 -17.39
%604.57 -2.47
%116.09 -1.14
%-82.45 -6.51
%-122.37 29.1
%-59.93 72.63
%-4655.86 -1.59
Price to Sales Ratio (P/S)
0.0432
%-39.77 0.0717
%-82.84 0.4180
%-57.61 0.9860
%-47.91 1.89
%11.55 1.7
%-29.08 2.39
%-30.21 3.43
%20.64 2.84
Price-to-Cash Flow ratio (P/CF)
-0.4410
%-62.98 -1.19
%6.26 -1.12
%-26.11 -1.52
%-87.08 -11.75
%-15.57 -13.91
%-169.90 19.9
%44.91 13.73
%-233.76 -10.27
Price to Free Cash Flow Ratio (PFCF)
-0.3283
%-58.11 -0.7836
%-16.22 -0.9353
%4.77 -0.8927
%-85.29 -6.07
%-14.40 -7.09
%-109.74 72.8
%-11.60 82.36
%-1886.88 -4.61
Price to Book (PB) Ratio
0.1166
%-46.28 0.2171
%-79.39 1.05
%-17.23 1.27
%-146.58 -2.73
%-161.50 4.44
%-25.50 5.96
%-48.52 11.58
%48.28 7.81
Dividend Yield
0
0
0
0
0
0
0
0
0
Payout Ratio
0
0
0
0
0
0
0
0
0
Price Earnings to Growth Ratio (PEG)
0.0036
0
0.1827
%412.22 0.0357
%-1292.40 -0.0030
%-114.20 0.0211
%-93.27 0.3130
%-145.13 -0.6935
%4898.97 -0.0139
Enterprise Value Multiplier
3.01
%-3.59 3.12
%-32.35 4.62
%-238.62 -3.33
%68.78 -1.97
%-96.86 -62.79
%-549.72 13.96
%-49.79 27.81
%-1396.03 -2.15
Price Fair Value
0.1166
%-46.28 0.2171
%-79.39 1.05
%-17.23 1.27
%-146.58 -2.73
%-161.50 4.44
%-25.50 5.96
%-48.52 11.58
%48.28 7.81
Efficiency Ratio
Annual
Breakdown | 2024-12-22 | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 |
---|
Receivables Turnover
5.55
%24.92 4.44
%70.41 2.61
%-25.38 3.49
%126.92 1.54
%56.96 0.9811
%-16.37 1.17
%-34.60 1.79
%10.53 1.62
Inventory Turnover
10.42
%-56.27 23.82
%-50.09 47.71
%66.93 28.58
%2.25 27.95
%17.79 23.73
%50.69 15.75
%0.80 15.62
%203.49 5.15
Fixed Asset Turnover
6.95
%20.20 5.79
%88.21 3.07
%177.89 1.11
%8.52 1.02
%-12.51 1.17
%-34.32 1.77
%15.39 1.54
%30.84 1.18
Operating Cycle
100.79
%3.42 97.46
%-33.98 147.61
%25.94 117.21
%-53.13 250.07
%-35.45 387.4
%15.88 334.31
%47.37 226.85
%-23.31 295.82
Cash Conversion Cycle (CCC)
84.39
%-3.29 87.26
%-11.43 98.51
%-222.99 -80.1
%-84.45 -515.25
%102.09 -254.96
%333.28 -58.84
%123.52 -26.33
%-418.80 8.26
Days of Sales Outstanding (DSO)
65.75
%-19.95 82.13
%-41.32 139.96
%34.01 104.44
%-55.93 237.01
%-36.29 372.02
%19.57 311.13
%52.90 203.49
%-9.53 224.91
Days of Inventory Outstanding (DIO)
35.04
%128.66 15.33
%100.35 7.65
%-40.09 12.77
%-2.20 13.06
%-15.10 15.38
%-33.64 23.18
%-0.80 23.36
%-67.05 70.91
Days of Payables Outstanding (DPO)
16.4
%60.77 10.2
%-79.22 49.1
%-75.12 197.32
%-74.22 765.31
%19.14 642.36
%63.39 393.15
%55.29 253.18
%-11.96 287.56
Payables Turnover
22.25
%-37.80 35.78
%381.28 7.43
%301.88 1.85
%287.86 0.4769
%-16.07 0.5682
%-38.80 0.9284
%-35.60 1.44
%13.58 1.27
Cash Flow Ratio
Annual
Breakdown | 2024-12-22 | 2023-12-31 | 2022-12-31 | 2021-12-31 | 2020-12-31 | 2019-12-31 | 2018-12-31 | 2017-12-31 | 2016-12-31 |
---|
Operating Cash Flow Sales Ratio
-0.0982
%63.15 -0.0602
%-83.85 -0.3729
%-42.63 -0.6500
%303.33 -0.1612
%32.13 -0.1220
%-201.46 0.1202
%-51.84 0.2496
%-190.19 -0.2767
Free Cash Flow Operating Cash Flow Ratio
1.34
%-11.87 1.52
%26.83 1.2
%-29.47 1.7
%-12.21 1.94
%-1.37 1.96
%617.93 0.2734
%63.93 0.1668
%-92.51 2.23
Cash Flow Coverage Ratios
-0.4237
%63.89 -0.2585
%-79.39 -1.25
%-39.48 -2.07
%759.21 -0.2412
%7.57 -0.2242
%-155.14 0.4067
%-29.97 0.5808
%-260.58 -0.3617
Short Term Coverage Ratios
-0.4237
%63.89 -0.2585
%-79.39 -1.25
%-39.48 -2.07
%759.21 -0.2412
%7.57 -0.2242
%-155.14 0.4067
%-29.97 0.5808
%-260.58 -0.3617
Capital Expenditure Coverage Ratio
-2.94
%53.13 -1.92
%-61.84 -5.04
%252.37 -1.43
%33.81 -1.07
%2.87 -1.04
%-175.48 1.38
%14.67 1.2
%-247.36 -0.8144
Dividend Paid and Capex Coverage Ratio
-2.94
%53.13 -1.92
%-61.84 -5.04
%252.37 -1.43
%33.81 -1.07
%2.87 -1.04
%-175.48 1.38
%14.67 1.2
%-247.36 -0.8144
Cash per Share
0.1061
%-84.42 0.6808
%4.56 0.6511
%-81.37 3.5
%191.98 1.2
%-45.13 2.18
%-9.75 2.42
%-50.29 4.86
%-13.10 5.6
Free Cashflow per Share
-1.24
%-33.06 -1.85
%-73.37 -6.95
%-67.17 -21.17
%352.32 -4.68
%-1.26 -4.74
%-579.30 0.9890
%-12.42 1.13
%-112.05 -9.37
Operating Cashflow per Share
-0.9247
%-24.04 -1.22
%-79.01 -5.8
%-53.46 -12.46
%415.26 -2.42
%0.12 -2.42
%-166.76 3.62
%-46.57 6.77
%-260.94 -4.21
Finn Scope