Stock Ratios
Making an investment decision in the stock market involves a certain amount of risk, so it's important to thoroughly review a company's stock before making any decisions. Stock float, number of short positions and outstanding shares are among the many factors an investor should take into account.
profit margin TTM
0.01%
operating margin TTM
7.11%
revenue TTM
1.90 Billion
revenue per share TTM
54.82$
valuation ratios | |
|---|---|
| pe ratio | 1,991.23 |
| peg ratio | -19.39 |
| price to book ratio | 4.57 |
| price to sales ratio | 0.28 |
| enterprise value multiple | -2.38 |
| price fair value | 4.57 |
profitability ratios | |
|---|---|
| gross profit margin | 30.66% |
| operating profit margin | 7.11% |
| pretax profit margin | -0.33% |
| net profit margin | 0.01% |
| return on assets | 0.01% |
| return on equity | 0.2% |
| return on capital employed | 3.99% |
liquidity ratios | |
|---|---|
| current ratio | 0.32 |
| quick ratio | 0.22 |
| cash ratio | 0.04 |
efficiency ratios | |
|---|---|
| days of inventory outstanding | 16.74 |
| operating cycle | 19.74 |
| days of payables outstanding | 38.10 |
| cash conversion cycle | -18.36 |
| receivables turnover | 121.84 |
| payables turnover | 9.58 |
| inventory turnover | 21.80 |
debt and solvency ratios | |
|---|---|
| debt ratio | 0.38 |
| debt equity ratio | 11.93 |
| long term debt to capitalization | 0.92 |
| total debt to capitalization | 0.92 |
| interest coverage | 0.99 |
| cash flow to debt ratio | 0.15 |
cash flow ratios | |
|---|---|
| free cash flow per share | -5.07 |
| cash per share | 0.39 |
| operating cash flow per share | 6.91 |
| free cash flow operating cash flow ratio | -0.73 |
| cash flow coverage ratios | 0.15 |
| short term coverage ratios | 34.10 |
| capital expenditure coverage ratio | 0.58 |
Frequently Asked Questions
When was the last time Dave & Buster's Entertainment, Inc. (NASDAQ:PLAY) reported earnings?
Dave & Buster's Entertainment, Inc. (PLAY) published its most recent earnings results on 09-12-2025.
What is Dave & Buster's Entertainment, Inc.'s current ROE?
An investor's main concern is the profitability ratios of a company so that they are able to understand how it performs financially. Investors are interested in finding out how effectively a business is using their cash to produce earnings, which is why return on equity (ROE) ratio is important. Dave & Buster's Entertainment, Inc. (NASDAQ:PLAY)'s trailing twelve months ROE is 0.2%.
What are ROA telling us?
The Return on Assets (ROA) ratio measures how profitable a company is relative to its total assets. Dave & Buster's Entertainment, Inc. (PLAY) currently has a ROA of 0.01%. Companies that manage their assets effectively will have greater returns, while those that do so poorly would suffer lower returns.
Where did PLAY's net profit margin stand at?
PLAY reported a profit margin of 0.01% in the last quarter. A company's profit margin, also known as its revenue ratio or gross profit ratio, reflects the amount of revenue that an organization earns compared to its net income. In general, a higher ratio implies greater profit, and vice versa.
What is PLAY's short-term liquidity position?
Apple's current ratio, which measures its ability to pay short-term obligations, was 0.32 in the most recent quarter. The quick ratio stood at 0.22, with a Debt/Eq ratio of 11.93.

