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BOOT
#1037
Boot Barn Holdings, Inc.
188.8
0
-3.95%
セクター:
ベース:
利益通貨:
日中レンジ
1年のレンジ
1日の変化
-3.95%
月次変化
+4.89%
6か月変化
+4.89%
1年の変化
+56.14%
以前の終値
196.5
7
Open
188.9
3
Bid
Ask
Low
188.4
7
High
190.8
0
ボリューム
154
マーケット
株
一般消費財
BOOT
Open full chart
Financials
Overview
明細書
Statistics
Dividends
Quarterly
Annual
Value
Q3, 24
Q4, 24
Q1, 25
Q2, 25
Q3, 25
TTM
Key stats
Total common shares outstanding
30.59 M
30.59 M
30.56 M
30.48 M
30.42 M
—
Valuation ratios
Enterprise value
4.54 B
3.22 B
4.55 B
4.99 B
5.23 B
17.98 B
Price to earnings ratio
27.38
18.27
23.9
24.47
24.98
91.62
Price to sales ratio
2.56
1.73
2.35
2.47
2.53
9.08
Price to cash flow ratio
25.4
22.41
26.04
23.95
20.61
93.01
Price to book ratio
1.17
2.92
1.06
1.11
1.15
6.24
Enterprise value to EBITDA ratio
15.77
10.64
13.94
14.39
14.28
53.25
Profitability ratios
Return on assets %
0.04
0.02
0.03
0.02
0.04
0.1
Return on equity %
0.07
0.03
0.05
0.04
0.07
0.18
Return on invested capital %
19.67
9.37
12.52
9.37
18.6
49.86
Gross margin %
39.28
37.15
39.13
36.44
39.86
152.57
Operating margin %
16.35
10.95
14.03
11.16
16.27
52.41
EBITDA margin %
19.03
14.68
17.57
15.03
19.13
66.4
Net margin %
12.34
8.27
10.6
8.35
12.16
39.38
Liquidity ratios
Quick ratio
0.51
0.33
0.38
0.27
0.57
1.55
Current ratio
2.2
2.45
2.53
2.35
2.4
9.72
Inventory turnover
0.53
0.4
0.4
0.39
0.51
1.71
Asset turnover
0.31
0.23
0.25
0.23
0.3
1.01
Solvency ratios
Debt to assets ratio
—
—
—
—
—
—
Debt to equity ratio
—
—
—
—
—
—
Long term debt to total assets ratio
—
—
—
—
—
—
Long term debt to total equity ratio
—
—
—
—
—
—
Per share metrics
Operating cash flow per share
5.09
-1.4
2.4
0.84
6.82
8.66
EBIT per share
3.21
1.61
2.3
1.83
3.73
9.48
EBITDA per share
3.75
2.16
2.88
2.47
4.39
11.91
Total debt per share
—
—
—
—
—
—
Cash per share
4.95
2.27
3.1
2.1
6.51
13.98
Net current asset value per share
29.11
28.08
29.55
31.46
34.42
123.5
Tangible book value per share
27
28.43
29.76
30.85
33.41
122.46
Working capital per share
15.87
16.59
17.89
18.04
20.06
72.58
Book value per share
35.3
36.75
38.09
39.19
41.76
155.8
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