Jamf Holding Corp.: Financial Ratios (10 years), Financial Data | MarketScreener (2024)

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09:16:48 2024-08-07 am EDT
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15.10 EUR +4.14% Jamf Holding Corp.: Financial Ratios (10 years), Financial Data | MarketScreener (1) -14.20% -11.53%
Jul. 14 Certain Common Stock of Jamf Holding Corp. are subject to a Lock-Up Agreement Ending on 14-JUL-2024. CI
Jul. 14 Certain Restricted Stock Units of Jamf Holding Corp. are subject to a Lock-Up Agreement Ending on 14-JUL-2024. CI
3781.ozMIDced3eCVmNK9w_FidIqTiA_nluF8o7EYNBO6mJ0.7wJpQLbnqorM6oOOiKNVLuDrwVW-7NBMzuMqZ3b1qNLpXWd0lNW-l6Doiw

Published financial data: JAMF HOLDING CORP.

Annual

Annual

Quarterly

Halfyear

YTD

LTM

Fiscal Period: December201820192020202120222023

Profitability

Return on Assets

-1.34 -0.65 -2.88 -5.55 -4.2

Return on Total Capital

-1.67 -0.85 -3.79 -7.52 -5.96

Return On Equity %

-6.29 -3.45 -9.71 -19.63 -15.52

Return on Common Equity

-6.29 -3.45 -9.71 -19.63 -15.52

Margin Analysis

Gross Profit Margin %

77.57 81.43 79.77 79.35 80

SG&A Margin

49.81 53.43 61.98 71.99 66.86

EBITDA Margin %

8.79 10.34 -3.2 -16.44 -9.73

EBITA Margin %

6.77 8.55 -4.77 -17.83 -11.06

EBIT Margin %

-9.25 -3.82 -16.04 -27.89 -18.71

Income From Continuing Operations Margin %

-15.98 -8.45 -20.52 -29.51 -19.64

Net Income Margin %

-15.98 -8.45 -20.52 -29.51 -19.64

Net Avail. For Common Margin %

-15.98 -8.45 -20.52 -29.51 -19.64

Normalized Net Income Margin

-12.66 -5.03 -10.59 -17.87 -10.86

Levered Free Cash Flow Margin

16.11 21.55 29.53 31.5 23.98

Unlevered Free Cash Flow Margin

22.27 23.77 29.62 31.39 23.89

Asset Turnover

Asset Turnover

0.23 0.27 0.29 0.32 0.36

Fixed Assets Turnover

18.8 21.36 13.38 11.55 14.73

Receivables Turnover (Average Receivables)

5.27 4.66 4.86 5.72 5.71

Short Term Liquidity

Current Ratio

0.65 1.45 1.02 0.97 0.95

Quick Ratio

0.52 1.32 0.9 0.87 0.83

Operating Cash Flow to Current Liabilities

0.07 0.26 0.23 0.25 0.09

Days Sales Outstanding (Average Receivables)

69.2 78.49 75.16 63.77 63.94

Average Days Payable Outstanding

24.04 38.96 40.08 45.58 67.24

Long Term Solvency

Total Debt/Equity

39.95 - 52.46 56.03 54.22

Total Debt / Total Capital

28.55 - 34.41 35.91 35.16

LT Debt/Equity

39.95 - 51.75 55.09 53.42

Long-Term Debt / Total Capital

28.55 - 33.94 35.31 34.64

Total Liabilities / Total Assets

44.31 24.36 50.12 54.15 54.86

EBIT / Interest Expense

-0.86 -0.95 -23.51 -38.15 -29.13

EBITDA / Interest Expense

0.82 2.58 -1.42 -19.74 -12.44

(EBITDA - Capex) / Interest Expense

0.49 2.18 -5.33 -21.95 -13.26

Total Debt / EBITDA

11.22 - -108.87 -5.69 -8.69

Net Debt / EBITDA

9.41 -6.99 -59.08 -2.44 -3.25

Total Debt / (EBITDA - Capex)

18.72 - -29.1 -5.11 -8.15

Net Debt / (EBITDA - Capex)

15.71 -8.29 -15.79 -2.19 -3.05

Growth Over Prior Year

Total Revenues, 1 Yr. Growth %

39.21 32.07 36.14 30.67 17.08

Gross Profit, 1 Yr. Growth %

48.99 38.64 33.54 29.97 18.05

EBITDA, 1 Yr. Growth %

339.89 53.61 -146.35 572.25 -30.68

EBITA, 1 Yr. Growth %

2.11K 64.29 -186.99 388.85 -27.4

EBIT, 1 Yr. Growth %

-36.77 -44.82 343.53 127.19 -21.48

Earnings From Cont. Operations, 1 Yr. Growth %

-10.08 -30.15 212.22 87.93 -22.09

Net Income, 1 Yr. Growth %

-10.08 -30.15 212.22 87.93 -22.09

Normalized Net Income, 1 Yr. Growth %

-14.34 -47.3 152.21 120.4 -28.83

Diluted EPS Before Extra, 1 Yr. Growth %

-10.44 -34.1 187.49 84.12 -24.72

Accounts Receivable, 1 Yr. Growth %

50.75 48.47 15.71 11.4 22.77

Net Property, Plant and Equip., 1 Yr. Growth %

35.21 2.23 162.03 9.09 -24.06

Total Assets, 1 Yr. Growth %

6.03 19.16 37.81 3.32 3.93

Tangible Book Value, 1 Yr. Growth %

23.08 -126.24 -657.94 0.65 -4.51

Common Equity, 1 Yr. Growth %

-5.48 61.84 -8.95 -5.02 2.31

Cash From Operations, 1 Yr. Growth %

19.48 343.07 23.42 38.12 -60.04

Capital Expenditures, 1 Yr. Growth %

147.16 -39.25 123.33 -20.79 -62.03

Levered Free Cash Flow, 1 Yr. Growth %

- 75.96 91.72 39.35 -10.86

Unlevered Free Cash Flow, 1 Yr. Growth %

- 40.54 73.86 38.48 -10.87

Compound Annual Growth Rate Over Two Years

Total Revenues, 2 Yr. CAGR %

- 35.59 34.03 33.38 23.69

Gross Profit, 2 Yr. CAGR %

- 43.72 35.9 31.74 23.87

EBITDA, 2 Yr. CAGR %

- 161.39 -16.4 76.52 115.87

EBITA, 2 Yr. CAGR %

- 507.03 18.91 106.22 88.38

EBIT, 2 Yr. CAGR %

- -41.25 70.03 217.44 33.57

Earnings From Cont. Operations, 2 Yr. CAGR %

- -20.75 47.96 142.23 21

Net Income, 2 Yr. CAGR %

- -20.75 47.96 142.23 21

Normalized Net Income, 2 Yr. CAGR %

- -32.97 20.48 135.77 25.24

Diluted EPS Before Extra, 2 Yr. CAGR %

- -23.18 37.91 130.07 17.73

Accounts Receivable, 2 Yr. CAGR %

- 49.6 31.92 12.26 16.95

Net Property, Plant and Equip., 2 Yr. CAGR %

- 17.57 78.25 69.07 -8.98

Total Assets, 2 Yr. CAGR %

- 12.4 27.91 19.32 3.62

Tangible Book Value, 2 Yr. CAGR %

- -43.17 17.14 136.98 -1.96

Common Equity, 2 Yr. CAGR %

- 23.68 21.06 -7.01 -1.42

Cash From Operations, 2 Yr. CAGR %

- 137.38 134.54 30.56 -25.71

Capital Expenditures, 2 Yr. CAGR %

- 22.54 16.48 33 -45.16

Levered Free Cash Flow, 2 Yr. CAGR %

- - 86.18 63.46 11.46

Unlevered Free Cash Flow, 2 Yr. CAGR %

- - 57.43 55.16 11.09

Compound Annual Growth Rate Over Three Years

Total Revenues, 3 Yr. CAGR %

- - 35.72 32.9 27.71

Gross Profit, 3 Yr. CAGR %

- - 40.13 33.89 27.01

EBITDA, 3 Yr. CAGR %

- - 42.12 67.49 29.27

EBITA, 3 Yr. CAGR %

- - 203.46 90.49 45.61

EBIT, 3 Yr. CAGR %

- - 25.36 87.28 99.27

Earnings From Cont. Operations, 3 Yr. CAGR %

- - 27.52 60.24 65.96

Net Income, 3 Yr. CAGR %

- - 27.52 60.24 65.96

Normalized Net Income, 3 Yr. CAGR %

- - 8.79 47.35 58.16

Diluted EPS Before Extra, 3 Yr. CAGR %

- - 21.51 51.86 58.54

Accounts Receivable, 3 Yr. CAGR %

- - 37.92 23.76 15.66

Net Property, Plant and Equip., 3 Yr. CAGR %

- - 62.56 51.34 29.48

Total Assets, 3 Yr. CAGR %

- - 20.16 19.12 13.95

Tangible Book Value, 3 Yr. CAGR %

- - 19.08 11.36 75.04

Common Equity, 3 Yr. CAGR %

- - 11.47 11.65 -4

Cash From Operations, 3 Yr. CAGR %

- - 90.95 96.59 -12.02

Capital Expenditures, 3 Yr. CAGR %

- - 49.68 2.43 -12.42

Levered Free Cash Flow, 3 Yr. CAGR %

- - - 69.05 33.55

Unlevered Free Cash Flow, 3 Yr. CAGR %

- - - 50.84 28.98

Compound Annual Growth Rate Over Five Years

Total Revenues, 5 Yr. CAGR %

- - - - 30.77

Gross Profit, 5 Yr. CAGR %

- - - - 33.38

EBITDA, 5 Yr. CAGR %

- - - - 67.98

EBITA, 5 Yr. CAGR %

- - - - 150.77

EBIT, 5 Yr. CAGR %

- - - - 28.58

Earnings From Cont. Operations, 5 Yr. CAGR %

- - - - 24.87

Net Income, 5 Yr. CAGR %

- - - - 24.87

Normalized Net Income, 5 Yr. CAGR %

- - - - 15.09

Diluted EPS Before Extra, 5 Yr. CAGR %

- - - - 19.99

Accounts Receivable, 5 Yr. CAGR %

- - - - 28.53

Net Property, Plant and Equip., 5 Yr. CAGR %

- - - - 28.91

Total Assets, 5 Yr. CAGR %

- - - - 13.25

Tangible Book Value, 5 Yr. CAGR %

- - - - 10.17

Common Equity, 5 Yr. CAGR %

- - - - 6.12

Cash From Operations, 5 Yr. CAGR %

- - - - 30.89

Capital Expenditures, 5 Yr. CAGR %

- - - - 0.17
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Jamf Holding Corp.: Financial Ratios (10 years), Financial Data | MarketScreener (2024)

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