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PAX Financial Analysis

Patria Investments Ltd
$
11.220
-0.170(-1.490%)

PAX Financial Analysis

FY2024Q3FY2024Q2FY2024Q1FY2023Q4FY2023Q3FY2023Q2FY2023Q1FY2022Q4FY2022Q3FY2022Q2FY2022Q1FY2021Q4FY2021Q3FY2021Q2FY2021Q1FY2020Q4FY2020Q3
Valuation ratios
PE
26.37
44.33%
22.11
16.92%
19.03
-19.81%
19.48
-11.70%
18.27
-43.14%
18.91
-31.63%
23.73
22.57%
22.06
22.62%
32.13
80.51%
27.66
19.36
17.99
17.80
0.00
0.00
0.00
0.00
EV/EBITDA
13.18
17.68%
13.37
1.36%
13.12
-9.27%
13.41
-7.84%
11.20
-46.51%
13.19
-18.78%
14.46
-13.31%
14.55
-7.09%
20.94
47.99%
16.24
16.68
15.66
14.15
0.00
0.00
0.00
0.00
EV/FCF
12.15
15.14
-6.60%
13.04
-46.64%
13.91
-41.16%
0.00
16.21
2.86%
24.44
-6.29%
23.64
11.25%
0.00
-100.00%
15.76
26.08
21.25
26.79
0.00
0.00
0.00
0.00
P/FCF
11.48
14.46
-21.80%
13.84
-51.52%
15.50
-45.19%
0.00
18.49
0.38%
28.55
9.01%
28.28
33.27%
0.00
-100.00%
18.42
26.19
21.22
31.31
0.00
0.00
0.00
0.00
PS
5.41
-22.27%
5.85
-16.43%
6.97
-11.10%
7.14
-9.85%
6.96
-21.80%
7.00
-27.31%
7.84
-18.50%
7.92
-16.28%
8.90
-12.75%
9.63
9.62
9.46
10.20
0.00
0.00
0.00
0.00
PB
3.60
-14.08%
3.56
-7.29%
4.34
7.43%
4.24
14.29%
4.19
12.33%
3.84
5.21%
4.04
-11.60%
3.71
-12.29%
3.73
-34.90%
3.65
-34.59%
4.57
-28.59%
4.23
5.73
5.58
6.40
0.00
0.00
Dividend Yield- %
8.26
25.91%
8.49
38.95%
7.24
26.13%
6.34
25.79%
6.56
27.63%
6.11
-16.30%
5.74
17.62%
5.04
15.07%
5.14
47.70%
7.30
4.88
4.38
3.48
0.00
0.00
0.00
0.00
FCF Yield- %
8.71
6.91
27.73%
7.22
106.29%
6.45
82.20%
0.00
5.41
-0.37%
3.50
-8.38%
3.54
-24.84%
0.00
-100.00%
5.43
3.82
4.71
3.19
0.00
0.00
0.00
0.00
PEG
-0.56
-394.74%
-0.79
-339.39%
0.76
-202.70%
0.75
-201.35%
0.19
-132.76%
0.33
-0.74
-0.74
-489.47%
-0.58
-390.00%
0.00
0.00
0.19
0.20
0.00
0.00
0.00
0.00
Profitability Ratios
Gross Profit Margin - %
41.11
-25.44%
42.88
-17.62%
52.88
19.42%
55.16
-0.31%
55.14
1.38%
52.05
2.66%
44.28
-11.01%
55.33
-13.34%
54.39
-11.88%
50.70
-20.46%
49.76
-18.23%
63.85
-17.59%
61.72
-10.21%
63.74
60.85
77.48
3.02%
68.74
12.49%
EBITDA Margin - %
32.88
-25.20%
26.19
-42.31%
42.16
34.74%
61.01
17.01%
43.96
49.17%
45.40
2.02%
31.29
-30.82%
52.14
-10.13%
29.47
-50.08%
44.50
-28.50%
45.23
-23.79%
58.02
-11.00%
59.04
-9.56%
62.24
59.35
65.19
1.05%
65.28
14.43%
Operating Margin - %
20.50
-37.78%
15.42
-58.19%
29.93
36.11%
54.68
4.87%
32.95
11.81%
36.88
4.51%
21.99
-38.58%
52.14
0.93%
29.47
-45.60%
35.29
-41.75%
35.80
-32.39%
51.66
-12.65%
54.17
-7.12%
60.58
52.95
59.14
0.89%
58.32
16.69%
FCF Margin - %
47.15
40.42
6.73%
50.39
83.44%
46.08
64.45%
0.00
37.87
-27.60%
27.47
-25.17%
28.02
-37.17%
0.00
-100.00%
52.31
36.71
44.60
0.25%
32.58
-26.36%
0.00
0.00
44.49
26.46%
44.24
Net Margin - %
2.65
-90.83%
3.56
-92.19%
26.00
-4.55%
42.48
-16.98%
28.91
24.83%
45.61
59.48%
27.24
-18.22%
51.17
76.21%
23.16
-57.29%
28.60
-53.63%
33.31
-21.94%
29.04
-43.53%
54.22
-0.80%
61.68
42.67
51.43
-7.48%
54.66
16.27%
Financial Health Ratios
Current Ratio
0.91
-22.88%
0.88
-34.33%
0.99
-22.05%
1.01
-28.87%
1.18
-16.31%
1.34
-14.65%
1.27
-37.75%
1.42
-37.17%
1.41
-71.34%
1.57
-80.81%
2.04
-77.33%
2.26
85.25%
4.92
170.33%
8.18
9.00
1.22
1.82
Debt to Equity
37.87
1047.58%
40.10
1100.60%
20.31
495.60%
3.04
-2.88%
3.30
3.34
78.61%
3.41
121.43%
3.13
125.18%
0.00
-100.00%
1.87
297.87%
1.54
161.02%
1.39
-48.13%
0.44
-76.09%
0.47
0.59
2.68
1.84
Interest Coverage Ratio
3.84
-94.53%
3.37
-96.36%
28.27
-31.38%
224.05
70.16
192.33%
92.48
210.02%
41.20
23.91%
0.00
-100.00%
24.00
-70.31%
29.83
-88.58%
33.25
-45.03%
90.02
11.22%
80.84
15.37%
261.19
60.49
80.94
-3.03%
70.07
21.97%
Efficiency Ratios
ROE
12.86
-43.94%
15.31
-25.64%
22.06
33.54%
21.62
29.93%
22.94
73.66%
20.59
43.89%
16.52
-38.36%
16.64
-57.78%
13.21
-74.70%
14.31
26.80
39.41
52.22
0.00
0.00
0.00
0.00
ROIC
11.87
-50.58%
14.19
-32.94%
21.20
24.12%
22.44
32.94%
24.02
81.69%
21.16
46.23%
17.08
-36.17%
16.88
-56.75%
13.22
-74.70%
14.47
26.76
39.03
52.25
0.00
0.00
0.00
0.00
ROA
6.04
-52.70%
8.03
-34.56%
11.57
24.41%
12.16
12.28%
12.77
49.18%
12.27
23.44%
9.30
-47.69%
10.83
-61.20%
8.56
-79.05%
9.94
17.78
27.91
40.86
0.00
0.00
0.00
0.00
Average Receivables Collection Days
158.91
18.94%
156.56
18.32%
173.43
1.93%
164.61
-3.53%
133.61
-28.70%
132.32
-32.36%
170.14
85.66%
170.64
69.10%
187.39
71.15%
195.63
91.64
100.91
109.49
0.00
0.00
0.00
0.00
Accounts Receivable Turnover
2.30
-16.06%
2.34
-15.52%
2.11
-1.86%
2.22
3.74%
2.74
40.51%
2.77
48.13%
2.15
-46.12%
2.14
-41.05%
1.95
-41.62%
1.87
3.99
3.63
3.34
0.00
0.00
0.00
0.00
Dividend Payout Ratio - %
4.92K
2345.53%
3.76K
10723.44%
396.76
50.91%
62.63
214.41%
200.98
167.44%
34.77
-81.40%
262.92
104.48%
19.92
-86.20%
75.15
-74.34%
186.93
850.81%
128.58
144.35
292.86
19.66
0.00
0.00
0.00
Growth Ratio
Total Revenue, YoY % Chg
8.76
-38.87%
-9.78
-123.27%
-7.52
-143.64%
24.80
-75.37%
14.33
-67.13%
42.02
-178.90%
17.23
-78.36%
100.71
133.07%
43.59
-53.26
79.62
43.21
-545.01%
0.00
0.00
0.00
-9.71
0.00
EBITDA, YoY % Chg
-18.65
-126.44%
-47.96
-206.82%
24.61
-230.14%
46.03
-42.72%
70.54
-349.08%
44.90
-167.43%
-18.91
-151.23%
80.36
192.54%
-28.32
-66.59
36.91
27.47
-413.23%
0.00
0.00
0.00
-8.77
0.00
EPS, YoY % Chg
-97.59
-294.09%
-98.07
-179.79%
-14.28
134.48%
-0.83
-100.35%
50.28
-205.92%
122.91
-253.71%
-6.09
-133.65%
234.83
-1923.21%
-47.47
-79.96
18.10
-12.88
-43.31%
0.00
0.00
0.00
-22.72
0.00

PAX FAQs

What is PAX's PE Ratio in 2025/3/28?

PAX's PE ratio in March 28, 2025 is 23.83. This indicates the price investors are willing to pay for $1 of earnings.

What is PAX's PS Ratio in 2025/3/28?

What is PAX's Dividend Yield in 2024/Q3?

What is PAX's Gross Margin in 2024/Q3?

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