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Cumulative 's Leverage Ratio for Trailing Twelve Months Period
KIRY's Leverage Ratio for Trailing Twelve Months Period and Total Liabilities, Equity growth
Select the Comparisons :
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Select the Ratio:
Leverage Ratio for Trailing Twelve Months Period ▼
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Op. Income Y/Y
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P/E Ratio TTM
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Price to Tangible Book
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Quick Ratio TTM
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Working Capital TTM
Long Term Debt to Equity
Long Term Debt to Equity TTM
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Debt to Equity TTM
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Leverage Ratio TTM
Tangible Leverage Ratio
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Cumulative Payout
Annual Dividend Payout
Revenue Annual Growth
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None ▼
Growth Rates
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Valuation Comparisons
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Leverage Ratio for Trailing Twelve Months Period ▼
Revenue Y/Y
Op. Income Y/Y
Income from Cont. Operations Y/Y
Net Income Y/Y
Effective Tax Rate
Eps Cop. Y/Y
Eps Net Y/Y
Free Cash Flow Y/Y
Cash Flow Y/Y
Capex Y/Y
Gross Margin
EBITDA Margin
Operating Margin
Net Margin
Pre-Tax Margin
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P/E Ratio TTM
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Price to Tangible Book
ROA Quarterly
ROI Quarterly
ROE Quarterly
Quick Ratio
Quick Ratio TTM
Working Capital
Working Capital TTM
Long Term Debt to Equity
Long Term Debt to Equity TTM
Debt to Equity
Debt to Equity TTM
Leverage Ratio
Leverage Ratio TTM
Tangible Leverage Ratio
Interest Coverage
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Working Capital Per Revenue
Sales per Employee
Income per Employee
Inventory to Sales
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Receivables Turnover
Dividend Growth
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Cumulative Payout
Annual Dividend Payout
Revenue Annual Growth
Operating Income Annual Growth
Income from Continued Operations Annual Growth
Net Income Annual Growth
Eps Continued Operations Annual Growth
Eps Net Annual Growth
Free Cash Flow Annual Growth
Cash Flow Annual Growth
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KIRY Leverage Ratio for Trailing Twelve Months Period
(Dec 31 2020)
IV. Quarter
(Dec 31 2019)
IV. Quarter
(Dec 31 2018)
IV. Quarter
(Dec 31 2017)
IV. Quarter
(Dec 31 2016)
IV. Quarter
Y / Y Equity Growth
-
-
-
-
-
Y / Y Total Liabilities Growth
-14.78 %
15566.77 %
6907.12 %
13691.49 %
-79.62 %
Leverage Ratio for Trailing Twelve Months Period
-
-
-
-
-
Total Ranking
#
#
#
#
#
Seq. Equity Growth
-
-
-
-
-
Seq. Total Liabilities Growth
-27.29 %
-46.11 %
12.93 %
92.58 %
13266.81 %
KIRY Segments
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Leverage Ratio for Trailing Twelve Months Period Comment for 12 Months ending at Dec 31 2020
On the trailing twelve months basis