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The tables below lists all the financial ratios and terms used by Value Investor Professional Edition.

Financial ratios used by Value Investor Professional Edition:

Financial Ratio
Accounts Receivable Turnover
Adjusted Return on Assets
Altman’s Z-Score
Average Collection Period
Basic Defense Interval
Break-Even Point
Capital Ratio
Capitalization Rate
Cash Flow Adequacy
Cash Flow Liquidity Ratio
Cash Flow Margin
Cash Flow to Capital Expenditures
Cash Flow to Total Debt
Cash Ratio
Cash Return on Assets
Cash to Current Assets
Cash to Working Capital
Current Assets to Total Debt
Current Ratio
Current to Total Liabilities
Debt Ratio
Debt to Asset Ratio
Debt to Equity Ratio
Depreciation to Cash Flow
Depreciation to Fixed Assets
Dividend Payout
Dividend Yield
Earnings per Share
Earnings to Total Assets
Equity to Total Debt
Expense Coverage Days
Financial Leverage Index
Fixed Asset Turnover
Fixed Charge Coverage
Goodwill to Assets
Gross Profit Margin
Gross Profit to Net Sales
Interest Coverage Ratio
Interest Expense to Total Debt
Inventory to Sales
Inventory to Working Capital
Inventory Turnover
Long-Term Debt to Total Cap.
Management Rate Of Return
Net Profit Margin
Net Worth per Share
Operating Profit Margin
Operating Profit Percentage
Preferred Stock to Stockholders Equity
Pretax Margin
Price to Cash Flow
Price to Earnings Ratio
Quick Ratio
Retained Earnings to Stockholders Equity
Retained Earnings to Total Assets
Return on Equity (ROE)
Return on Total Assets (ROI)
Sales to Administrative Expenses
Sales to Current Assets
Sales to Equity
Sales to Stock Price
Sales to Working Capital
Stockholders Equity
Stockholders Equity Growth Rate
Tax Rate Percentage
Times Interest Earned
Total Asset Turnover
Working Capital to Debt
Working Capital to Total Assets
Working Capital Turnover

Financial values used by Value Investor Professional Edition

Financial Value
Accounts Payable
Accounts Receivable
Average Shares Outstanding
Avg Annual Current Maturities
Capital Expenditures
Cash and Cash Equivalents
Cash Dividends Per Share
Cash Flow from Operations
Common Stock Value
Cost of Goods Sold
Depreciation and Amortization
Earnings Before Income Taxes
Gross Profit
Income Tax
Interest Expense
Inventories
Lease Payments
Long-Term Debt
Market Price of Common Stock
Marketable Securities
Net Earnings
Net Property, Plant, Equipment
Net Sales
Operating Expenses
Operating Profit
Preferred Stock Value
Retained Earnings
Sales, General, and Administration
Short-Term Debt
Stock dividends
Tax Rate
Total Assets
Total Current Assets
Total Current Liabilities
Total Liabilities
Total Stockholder's Equity
Unamortized Goodwill

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