Breathtaking Nike Financial Ratios
In the next three years the organization would moderately increase its debt ratio ending 2019 at 146.
Nike financial ratios. Solvency Analysis 9 f This solvency ratio represents how well Nike can effectively pay its debt. According to these financial ratios NIKE Incs valuation is way above the market valuation of its peer group. Is significantly higher than the average of its sector Footwear.
The EVEBITDA NTM ratio of NIKE Inc. Quote Stock Analysis News Price vs Fair Value Sustainability Trailing Returns Financials Valuation Operating Performance. Nike Incs adjusted financial leverage ratio increased from 2019 to 2020 but then slightly decreased from 2020 to 2021 not reaching 2019 level.
According to these financial ratios NIKE Incs valuation is way above the market valuation of its sector. Nike is in a good position to pay off their debt. 68 rows NIKE current ratio for the three months ending May 31 2021 was 272.
NKE including valuation measures fiscal year financial statistics trading record share statistics and more. The EVEBITDA NTM ratio of NIKE Inc. Stock NKE.
16000 -100 -062 Jul 12 406 AM. Unfortunately in 2020 the organization would substantially increase its debt ending 2020 at 30. Adjusted net profit margin.
Click Here for More Ratio Analysis. The EVEBITDA NTM ratio of NIKE Inc. Financial Ratio Analysis In assessing the significance of various financial data experts engage in financial analysis the process of determining and evaluating financial ratios.