Financial Glossary
Fundamental: 48 terms
Altman Z-ScoreAltman Z2-ScoreBeneish M-ScoreBook Value per ShareCash per ShareCyclically Adjusted Book per ShareCyclically Adjusted FCF per ShareCyclically Adjusted Revenue per ShareDividends per ShareE10Earnings per Share (Diluted)EBIT per ShareEBITDA per ShareEnterprise ValueEPS without NRIFFO per ShareFinancial StrengthFree Cash Flow per ShareGF ScoreGF Value RankGrowth RankInsider OwnershipInstitutional OwnershipMarket CapMoat ScoreMohanram G-ScoreMomentum RankNet Cash per ShareNet Current Asset ValueNet-Net Working CapitalOperating Cash Flow per ShareOwner Earnings per Share (TTM)Piotroski F-ScorePredictability RankProbability of Financial Distress (%)Profitability RankQuality RankRevenue per ShareRisk AssessmentScaled Net Operating AssetsTangible Book per ShareTariff Resilience ScoreTotal Debt per ShareValuation RankValue TrapYoY EBITDA Growth (%)YoY EPS GrowthYoY Rev. per Sh. Growth
Valuation Ratio: 86 terms
1-Year ROIIC %1-Year Share Buyback Ratio10-Year ROIIC %10-Year RORE %10-Year Share Buyback Ratio3-Month Share Buyback Ratio3-Year ROIIC %3-Year RORE %3-Year Share Buyback Ratio5-Year ROIIC %5-Year RORE %5-Year Share Buyback Ratio6-Month Share Buyback RatioAsset TurnoverBuyback Yield %Capex-to-Operating-Cash-FlowCapex-to-Operating-IncomeCapex-to-RevenueCash Conversion CycleCash RatioCash-to-DebtCOGS-to-RevenueCurrent RatioCyclically Adjusted PB RatioCyclically Adjusted Price-to-FCFCyclically Adjusted PS RatioDays InventoryDays PayableDays Sales OutstandingDebt-to-AssetDebt-to-EBITDADebt-to-EquityDebt-to-RevenueDefensive Interval RatioDegree of Financial LeverageDegree of Operating LeverageEarnings Yield (Joel Greenblatt) %Earnings Yield %Effective Interest Rate on Debt %Equity-to-AssetEV-to-EBITEV-to-EBITDAEV-to-FCFEV-to-OCFEV-to-RevenueFCF Yield %Forward PE RatioForward Rate of Return (Yacktman) %Goodwill-to-AssetGross-Profit-to-Asset %Interest CoverageInventory TurnoverInventory-to-RevenueLiabilities-to-AssetsNet Debt Paydown Yield %OCF Yield %PB RatioPE RatioPE Ratio (TTM)PE Ratio without NRIPEG RatioPrice-to-FFOPrice-to-Free-Cash-FlowPrice-to-Operating-Cash-FlowPrice-to-Owner-EarningsPrice-to-Tangible-BookPS RatioQuick RatioReceivables TurnoverReturn-on-Tangible-AssetReturn-on-Tangible-EquityROA %ROC (Joel Greenblatt) %ROC (ROIC) %ROCE %ROE %ROE % Adjusted to Book ValueROIC %Shareholder Yield %Shares Buyback Ratio %Shiller PE RatioShort RatioSloan Ratio %Total Payout RatioTotal Payout Yield %WACC %
Profitability: 8 terms
Price: 22 terms
1-Year Sharpe Ratio1-Year Sortino Ratio1-Year Volatility %10-Year Sharpe Ratio10-Year Sortino Ratio3-Year Sharpe Ratio3-Year Sortino Ratio5-Year Sharpe Ratio5-Year Sortino RatioBetaEarnings Power Value (EPV)GF ValueGraham NumberIntrinsic Value: DCF (Dividends Based)Intrinsic Value: DCF (Earnings Based)Intrinsic Value: DCF (FCF Based)Intrinsic Value: Projected FCFMargin of Safety % (DCF Dividends Based)Margin of Safety % (DCF Earnings Based)Margin of Safety % (DCF FCF Based)Median PS ValuePeter Lynch Fair Value
Dividends: 7 terms
Income Statement: 47 terms
Cost of Goods SoldCredit Losses ProvisionDepreciation, Depletion and AmortizationEBITEBITDAEPS (Basic)EPS (Diluted)Fees and Other IncomeGeneral and Admin. ExpenseGross ProfitInterest ExpenseInterest Expense (Positive)Interest IncomeNet IncomeNet Income (Continuing Operations)Net Income (Discontinued Operations)Net Income Including Noncontrolling InterestsNet Interest IncomeNet Interest Income (for Banks)Net Investment IncomeNet Policyholder Benefits/ClaimsNon Interest IncomeNon Operating IncomeOperating IncomeOther ExpenseOther Income (Expense)Other Income (Minority Interest)Other Net Income (Loss)Other Noninterest ExpenseOther Operating ExpensePolicy Acquisition ExpensePreferred DividendsPretax IncomeResearch & DevelopmentRevenueSelling and Marketing ExpenseSelling, General, & Admin. ExpenseShares Outstanding (Basic Average)Shares Outstanding (Diluted Average)Special ChargesTax ExpenseTax ProvisionTax Rate %Total ExpensesTotal Noninterest ExpenseTotal Operating ExpenseTotal Premiums Earned
Balance Sheet: 84 terms
Accounts PayableAccounts Payable & Accrued ExpenseAccounts Payable & Accrued Expense for FinancAccounts ReceivableAccumulated DepreciationAccumulated other comprehensive income (loss)Additional Paid-In CapitalAllowance For Loans And Lease LossesBalance Statement Cash and cash equivalentsBuildings And ImprovementsCash and Cash EquivalentsCash, Cash Equivalents, Marketable SecuritiesCommon StockConstruction In ProgressCurrent Accrued ExpenseCurrent Deferred RevenueCurrent Deferred Taxes LiabilitiesDeferred Policy Acquisition CostsDeferred Tax And RevenueEquity InvestmentsFixed Maturity InvestmentFuture Policy BenefitsGoodwillGross LoanGross Property, Plant and EquipmentIntangible AssetsInventories, Finished GoodsInventories, Inventories AdjustmentsInventories, OtherInventories, Raw Materials & ComponentsInventories, Work In ProcessInvestments And AdvancesLand And ImprovementsLoans ReceivableLong-Term Capital Lease ObligationLong-Term DebtLong-Term Debt & Capital Lease ObligationMachinery, Furniture, EquipmentMarketable SecuritiesMinority InterestMoney Market InvestmentsNet LoanNonCurrent Deferred Income TaxNonCurrent Deferred LiabilitiesNotes ReceivableOther Assets for BanksOther Assets for Insurance CompaniesOther Current AssetsOther Current LiabilitiesOther Current PayablesOther Current ReceivablesOther Gross PPEOther Liabilities for BanksOther Liabilities for Insurance CompaniesOther Long Term AssetsOther Long-Term LiabilitiesOther Stockholders EquityPension And Retirement BenefitPolicyholder FundsPreferred StockProperty, Plant and EquipmentRetained EarningsSecurities & InvestmentsShares Outstanding (EOP)Short-Term Capital Lease ObligationShort-Term DebtShort-Term Debt & Capital Lease ObligationShort-term investmentsTotal AssetsTotal Current AssetsTotal Current LiabilitiesTotal DepositsTotal EquityTotal InventoriesTotal LiabilitiesTotal Long-Term AssetsTotal Long-Term LiabilitiesTotal ReceivablesTotal Stockholders EquityTotal Tax PayableTreasury StockUnearned IncomeUnearned PremiumsUnpaid Loss & Loss Reserve
Cashflow statement: 66 terms
All Taxes PaidAsset Impairment ChargeBeginning Cash PositionCapital ExpenditureCash Flow Depreciation, Depletion and AmortizationCash Flow for DividendsCash Flow for Lease FinancingCash Flow from Discontinued OperationsCash Flow from FinancingCash Flow from InvestingCash Flow from OperationsCash Flow from OthersCash From Discontinued Investing ActivitiesCash from Discontinued Operating ActivitiesCash From Other Investing ActivitiesCash Paid for Insurance ActivitiesCash PaymentsCash Payments for Deposits by Banks and CustomersCash Payments for LoansCash Receipts from Deposits by Banks and CustomersCash Receipts from Fees and CommissionsCash Receipts from LoansCash Receipts From Operating ActivitiesCash Receipts from Securities Related ActivitiesCash Receipts from Tax RefundsCash Received from Insurance ActivitiesChange In InventoryChange In Other Working CapitalChange In Payables And Accrued ExpenseChange In Prepaid AssetsChange In ReceivablesChange In Working CapitalDeferred TaxDividends PaidDividends ReceivedEffect of Exchange Rate ChangesEnding Cash PositionFFOFree Cash FlowInterest and Commission PaidInterest PaidInterest ReceivedIssuance of DebtIssuance of StockNet Change in CashNet Income From Continuing OperationsNet Intangibles Purchase And SaleNet Issuance of DebtNet Issuance of Preferred StockOther Cash Payments from Operating ActivitiesOther Cash Receipts from Operating ActivitiesOther FinancingPayments of DebtPayments on Behalf of EmployeesPayments to Suppliers for Goods and ServicesPurchase Of BusinessPurchase Of InvestmentPurchase Of Property, Plant, EquipmentReceipts from CustomersReceipts from Government GrantsRepurchase of StockSale Of BusinessSale Of InvestmentSale Of Property, Plant, EquipmentStock Based CompensationTaxes Refund Paid