NET - Cloudflare Inc - Ordinary Shares - Class A
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82.14
0.860 1.047%
Share volume: 2,420,757
Last Updated: Fri 30 Aug 2024 10:00:03 PM CEST
Data Processing, Hosting, and Related Services:
-0.44%
PREVIOUS CLOSE
CHG
CHG%
$81.28
0.86
1.06%
Summary score
6%
Profitability
0%
Dept financing
25%
Liquidity
38%
Performance
0%
Sector
Information
Industry
Data Processing, Hosting, and Related Services
Long-term ratios 30-Jun-2020 - 30-Jun-2024
The data are presented for the financials results of the quarters of the last 4 years.
Return on equity
-6.63%
Return on assets
-1.8%
Return on sales
-17.53%
Return on invested capital
-26.84%
Total debt ratio
65.01%
Debt ratio change over timeo
-4.78%
Current Ratio
5.59%
Quick Ratio
5.59%
Cash Position Ratio
3.69%
Short-term ratios 30-Jun-2023 - 30-Jun-2024
The data are presented for the financials results of the quarters of the last year.
Return on equity
-3.3%
Return on assets
-1.55%
Return on sales
-11.64%
Return on invested capital
-11.5%
Total debt ratio
71.67%
Debt ratio change over timeo
-8.03%
Current Ratio
3.6%
Quick Ratio
3.6%
Cash Position Ratio
3.05%
Last quarter ratios 30-Jun-2024
The data are presented for the financials results of the last quarter.
Return on equity
-1.71%
Return on assets
-1.19%
Return on sales
-8.65%
Return on invested capital
-6.62%
Total debt ratio
69.78%
Debt ratio change over time
-11.54%
Current Ratio
3.51%
Quick Ratio
3.51%
Cash Position Ratio
2.95%
Performance ratios (change over 4 years) 30-Jun-2020 - 30-Jun-2024
The data are presented for the change financials results of the quarter of the last 4 years.
Return on equity
-70.33%
Return on assets
-90.56%
Return on sales
-14.18%
Return on invested capital
-0.92%
Total debt ratio
-478.35%
Debt ratio change over time
-4.78%
Current Ratio
-27.4%
Quick Ratio
-27.4%
Cash Position Ratio
-20.73%
Compare in sector
The following table compares the individual analyzes for the other top 3 stocks within the same industry.
Long-term ratios | NET | META | FB | SHOP |
---|---|---|---|---|
Return on equity | -6.63% | 6.77% | 7.32% | -0.53% |
Return on assets | -1.8% | 5.8% | 6.66% | -0.27% |
Return on sales | -17.53% | 34.61% | 38.97% | -1.62% |
Return on invested capital | -26.84% | 10.12% | 12.66% | 2.96% |
Profitability | 0% | 87% | 100% | 6% |
Total debt ratio | 65.01% | 27.24% | 21.06% | 19.11% |
Debt ratio change over time | -4.78% | 2.43% | 0.7% | -0.54% |
Dept financing | 25% | 35% | 15% | 7% |
Current Ratio | 3.6% | 2.69% | 0% | 7.12% |
Quick Ratio | 3.6% | 2.69% | 0% | 7.12% |
Cash Position Ratio | 3.05% | 2.07% | 0% | 5.7% |
Liquididy | 36% | 23% | 31% | 75% |
Short-term ratios | NET | META | FB | SHOP |
---|---|---|---|---|
Return on equity | -3.3% | 8.53% | 0% | 4.28% |
Return on assets | -1.55% | 6.54% | 0% | 1.2% |
Return on sales | -11.64% | 39.25% | 0% | 6.72% |
Return on invested capital | -11.5% | 11.06% | 0% | 9.83% |
Profitability | 0% | 100% | 0% | 44% |
Total debt ratio | 71.67% | 33.01% | 0% | 20.19% |
Debt ratio change over time | -8.03% | 2% | 0% | -1.16% |
Dept financing | 25% | 37% | 0% | 7% |
Current Ratio | 3.6% | 2.69% | 0% | 7.12% |
Quick Ratio | 3.6% | 2.69% | 0% | 7.12% |
Cash Position Ratio | 3.05% | 2.07% | 0% | 5.7% |
Liquididy | 39% | 28% | 0% | 75% |