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IPAR Financial Analysis
IPAR Key Indicators
IPAR Income Statement
IPAR Balance Sheet
IPAR Cash Flow
Quarterly
FY2024Q4 | FY2024Q3 | FY2024Q2 | FY2024Q1 | FY2023Q4 | FY2023Q3 | FY2023Q2 | FY2023Q1 | FY2022Q4 | FY2022Q3 | FY2022Q2 | FY2022Q1 | FY2021Q4 | FY2021Q3 | FY2021Q2 | FY2021Q1 | FY2020Q4 | FY2020Q3 | FY2020Q2 | FY2020Q1 | |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Valuation ratios | ||||||||||||||||||||
PE | 25.70 -15.24% | 27.74 2.06% | 26.40 -10.57% | 32.37 -0.80% | 30.32 18.76% | 27.18 16.01% | 29.52 26.48% | 32.63 10.35% | 25.53 -34.42% | 23.43 1.96% | 23.34 -16.67% | 29.57 -26.59% | 38.93 -22.30% | 22.98 -38.47% | 28.01 -33.89% | 40.28 40.99% | 50.10 31.01% | 37.35 1.30% | 42.37 17.21% | 28.57 |
EV/FCF | 0.00 -100.00% | 54.33 -45.70% | 199.76 103.36% | 528.02 13.39% | 91.15 | 100.05 | 98.23 | 465.68 | 0.00 | 0.00 -100.00% | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 51.44 97.62% | 0.00 -100.00% | 19.25 -26.83% | 34.27 1.09% | 26.03 -25.84% | 33.70 4.89% | 26.31 |
P/FCF | 0.00 -100.00% | 51.70 -46.42% | 187.53 97.52% | 501.85 11.17% | 88.32 | 96.49 | 94.94 | 451.43 | 0.00 | 0.00 -100.00% | 0.00 | 0.00 -100.00% | 0.00 -100.00% | 51.68 93.99% | 0.00 -100.00% | 20.30 -25.72% | 36.29 2.31% | 26.64 -25.52% | 34.44 4.40% | 27.33 |
PEG | 3.33 182.20% | -5.01 -1082.35% | -6.50 -1115.62% | -76.07 -10967.14% | 1.18 73.53% | 0.51 -102.18% | 0.64 -40.19% | 0.70 62.79% | 0.68 119.35% | -23.35 -23450.00% | 1.07 386.36% | 0.43 -90.87% | 0.31 -122.63% | 0.10 -112.66% | 0.22 -119.82% | 4.71 -260.20% | -1.37 -140.90% | -0.79 -135.59% | -1.11 -152.11% | -2.94 |
Profitability Ratios | ||||||||||||||||||||
Gross Profit Margin - % | 64.46 13.87% | 55.85 -0.20% | 56.62 6.51% | 54.08 -5.75% | 56.61 0.84% | 55.96 -1.17% | 53.16 -3.56% | 57.38 3.29% | 56.14 2.97% | 56.62 1.23% | 55.12 -1.50% | 55.55 0.40% | 54.52 -2.43% | 55.93 5.09% | 55.96 18.16% | 55.33 3.07% | 55.88 -1.52% | 53.22 1.43% | 47.36 -17.01% | 53.68 |
EBITDA Margin - % | 11.07 55.26% | 26.42 6.10% | 20.70 7.98% | 22.84 -24.57% | 7.13 -36.34% | 24.90 1.80% | 19.17 -4.39% | 30.28 17.96% | 11.20 -356.88% | 24.46 -8.18% | 20.05 -11.56% | 25.67 -3.64% | -4.36 -127.88% | 26.64 27.16% | 22.67 -440.39% | 26.64 92.76% | 15.64 88.66% | 20.95 3.10% | -6.66 -145.34% | 13.82 |
Operating Margin - % | 11.07 92.86% | 24.96 5.32% | 18.94 6.46% | 20.98 -27.56% | 5.74 -42.37% | 23.70 3.09% | 17.79 -4.10% | 28.96 18.59% | 9.96 -272.02% | 22.99 -10.72% | 18.55 -13.76% | 24.42 -3.71% | -5.79 -140.26% | 25.75 31.92% | 21.51 -292.74% | 25.36 106.51% | 14.38 107.20% | 19.52 1.88% | -11.16 -182.61% | 12.28 |
Net Margin - % | 7.38 195.20% | 18.09 0.67% | 13.62 -0.95% | 16.45 -27.69% | 2.50 -54.13% | 17.97 -5.42% | 13.75 -2.55% | 22.75 23.17% | 5.45 -310.42% | 19.00 0.16% | 14.11 0.86% | 18.47 0.11% | -2.59 -126.78% | 18.97 39.49% | 13.99 -332.01% | 18.45 100.98% | 9.67 94.57% | 13.60 -2.44% | -6.03 -164.29% | 9.18 |
Financial Health Ratios | ||||||||||||||||||||
Current Ratio | 2.75 6.59% | 2.82 17.01% | 2.58 7.05% | 2.75 17.02% | 2.58 12.66% | 2.41 -15.44% | 2.41 -16.61% | 2.35 -20.07% | 2.29 -21.03% | 2.85 -14.16% | 2.89 -7.37% | 2.94 -27.05% | 2.90 -24.68% | 3.32 -26.87% | 3.12 -34.73% | 4.03 10.11% | 3.85 23.79% | 4.54 40.12% | 4.78 54.19% | 3.66 |
Quick Ratio | 1.63 13.19% | 1.60 13.48% | 1.27 -6.62% | 1.43 -2.05% | 1.44 0.00% | 1.41 -17.54% | 1.36 -22.73% | 1.46 -28.08% | 1.44 -31.10% | 1.71 -33.72% | 1.76 -25.74% | 2.03 -33.44% | 2.09 -26.15% | 2.58 -15.13% | 2.37 -17.42% | 3.05 22.49% | 2.83 28.64% | 3.04 35.71% | 2.87 36.67% | 2.49 |
Debt to Equity | 17.57 -3.20% | 19.09 -4.50% | 17.28 -15.21% | 16.88 -25.38% | 18.15 -20.53% | 19.99 21.08% | 20.38 12.72% | 22.62 22.93% | 22.84 13.29% | 16.51 -11.43% | 18.08 -20.53% | 18.40 1168.97% | 20.16 472.73% | 18.64 385.42% | 22.75 468.75% | 1.45 -46.49% | 3.52 -7.12% | 3.84 -18.82% | 4.00 -32.77% | 2.71 |
Interest Coverage Ratio | 19.06 326.40% | 47.49 30.54% | 21.49 -11.09% | 37.62 -1.78% | 4.47 -85.42% | 36.38 -61.52% | 24.17 -45.54% | 38.30 46.97% | 30.65 -42.44% | 94.54 137.18% | 44.38 26.22% | 26.06 -80.49% | 53.25 -7.46% | 39.86 -81.19% | 35.16 -329.80% | 133.56 667.15% | 57.54 381.51% | 211.87 122.02% | -15.30 -113.83% | 17.41 |
Efficiency Ratios | ||||||||||||||||||||
Average Inventory Days | 259.27 24.67% | 226.66 10.19% | 241.31 12.86% | 221.42 9.98% | 207.96 11.39% | 205.69 12.27% | 213.81 17.80% | 201.32 21.30% | 186.69 11.68% | 183.21 12.70% | 181.50 -6.90% | 165.97 -22.76% | 167.17 -30.26% | 162.57 -37.06% | 194.96 -25.87% | 214.87 7.39% | 239.69 27.71% | 258.31 36.25% | 263.01 26.42% | 200.09 |
Inventory Turnover | 1.41 -19.89% | 1.61 -9.55% | 1.52 -11.11% | 1.65 -9.34% | 1.76 -10.20% | 1.78 -11.00% | 1.71 -15.35% | 1.82 -17.65% | 1.96 -10.50% | 2.00 -11.11% | 2.02 7.45% | 2.21 30.00% | 2.19 43.14% | 2.25 58.45% | 1.88 35.25% | 1.70 -7.10% | 1.53 -21.54% | 1.42 -26.42% | 1.39 -21.02% | 1.83 |
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What is IPAR's PE Ratio in 2025/4/4?
IPAR's PE ratio in April 4, 2025 is 20.34. This indicates the price investors are willing to pay for $1 of earnings.
What is IPAR's PS Ratio in 2025/4/4?
IPAR's PS ratio in April 4, 2025 is 2.30. This indicates how much investors are willing to pay for each dollar of the company's sales.
What is IPAR's Gross Margin in 2024/Q4?
IPAR's Gross Margin in 2024/Q4 is 64.46. Gross Margin is typically calculated as (Revenue - Cost of Goods Sold) / Revenue and is a key indicator of a company's financial health and efficiency in managing production costs.
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