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GURUFOCUS.COM
STOCK LIST
Technology
Software
Payfare Inc (TSX:PAY)
Definitions
Payfare Inc
TSX
:PAY (Canada) Â
Ordinary Shares - Class A
C$ 3.84
(-0.26%)
Dec 27
P/E:
9.84
P/B:
2.11
Market Cap:
C$ 184.63M
($ 128.07M)
Enterprise V:
C$ 110.03M
($ 76.33M)
Volume:
818.84K
Avg Vol (2M):
396.69K
Warning! GuruFocus detected 2 Severe warning signs with PAY.
Try a 7-Day Free Trial
to check it out.
Trade In:
Volume:
818.84K
Market Cap C$:
184.63M
Market Cap $:
128.07M
PE Ratio:
9.84
Avg Vol (2M):
396.69K
Enterprise Value C$:
110.03M
Enterprise Value $:
76.33M
PB Ratio:
2.11
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Definitions
Payfare Inc Valuation Measures
Category
Alphabet
Fundamental
(48)
Altman Z-Score
Altman Z2-Score
Beneish M-Score
Book Value per Share
Cash per Share
Cyclically Adjusted Book per Share
Cyclically Adjusted FCF per Share
Cyclically Adjusted Revenue per Share
Dividends per Share
E10
Earnings per Share (Diluted)
EBIT per Share
EBITDA per Share
Enterprise Value
EPS without NRI
FFO per Share
Financial Strength
Float Percentage Of Total Shares Outstanding
Free Cash Flow per Share
GF Score
GF Value Rank
Growth Rank
Insider Ownership
Institutional Ownership
Market Cap
Mohanram G-Score
Momentum Rank
Net Cash per Share
Net Current Asset Value
Net-Net Working Capital
Operating Cash Flow per Share
Owner Earnings per Share (TTM)
Piotroski F-Score
Predictability Rank
Probability of Financial Distress (%)
Profitability Rank
Quality Rank
Revenue per Share
Risk Assessment
Scaled Net Operating Assets
Short Interest
Short Percentage of Float
Tangible Book per Share
Total Debt per Share
Valuation Rank
YoY EBITDA Growth
YoY EPS Growth
YoY Rev. per Sh. Growth
Valuation Ratio
(78)
1-Year ROIIC %
10-Year ROIIC %
10-Year RORE %
3-Year ROIIC %
3-Year RORE %
5-Year ROIIC %
5-Year RORE %
Asset Turnover
Buyback Yield %
Capex-to-Operating-Cash-Flow
Capex-to-Operating-Income
Capex-to-Revenue
Cash Conversion Cycle
Cash Ratio
Cash-to-Debt
COGS-to-Revenue
Current Ratio
Cyclically Adjusted PB Ratio
Cyclically Adjusted Price-to-FCF
Cyclically Adjusted PS Ratio
Days Inventory
Days Payable
Days Sales Outstanding
Debt-to-Asset
Debt-to-EBITDA
Debt-to-Equity
Debt-to-Revenue
Degree of Financial Leverage
Degree of Operating Leverage
Earnings Yield %
Earnings Yield (Joel Greenblatt) %
Effective Interest Rate on Debt %
Equity-to-Asset
EV-to-EBIT
EV-to-EBITDA
EV-to-FCF
EV-to-Revenue
FCF Yield %
Forward PE Ratio
Forward Rate of Return (Yacktman) %
Goodwill-to-Asset
Gross-Profit-to-Asset %
Interest Coverage
Inventory Turnover
Inventory-to-Revenue
Liabilities-to-Assets
LT-Debt-to-Total-Asset
Net Debt Paydown Yield %
PB Ratio
PE Ratio
PE Ratio (TTM)
PE Ratio without NRI
PEG Ratio
Price-to-Free-Cash-Flow
Price-to-Funds-From-Operations
Price-to-Operating-Cash-Flow
Price-to-Owner-Earnings
Price-to-Tangible-Book
PS Ratio
Quick Ratio
Receivables Turnover
Return-on-Tangible-Asset
Return-on-Tangible-Equity
ROA %
ROC %
ROC (Joel Greenblatt) %
ROCE %
ROE %
ROE % Adjusted to Book Value
ROIC %
Shareholder Yield %
Shares Buyback Ratio %
Shiller PE Ratio
Short Ratio
Sloan Ratio %
Total Payout Ratio
Total Payout Yield %
WACC %
Profitability
(7)
EBITDA Margin %
FCF Margin %
Gross Margin %
Net Interest Margin (Bank Only) %
Net Margin %
Operating Margin %
Pretax Margin %
Price
(22)
1-Year Sharpe Ratio
1-Year Sortino Ratio
10-Year Sharpe Ratio
10-Year Sortino Ratio
3-Year Sharpe Ratio
3-Year Sortino Ratio
5-Year Sharpe Ratio
5-Year Sortino Ratio
Beta
Earnings Power Value (EPV)
GF Value
Graham Number
Intrinsic Value: DCF (Dividends Based)
Intrinsic Value: DCF (Earnings Based)
Intrinsic Value: DCF (FCF Based)
Intrinsic Value: Projected FCF
Margin of Safety % (DCF Dividends Based)
Margin of Safety % (DCF Earnings Based)
Margin of Safety % (DCF FCF Based)
Median PS Value
Peter Lynch Fair Value
Volatility
Dividends
(7)
3-Year Dividend Growth Rate
5-Year Dividend Growth Rate
5-Year Yield-on-Cost %
Dividend Payout Ratio
Dividend Yield %
Dividend-Payout-to-FFO
Forward Dividend Yield %
Income Statement
(47)
Cost of Goods Sold
Credit Losses Provision
Depreciation, Depletion and Amortization
EBIT
EBITDA
EPS (Basic)
EPS (Diluted)
Fees and Other Income
General and Admin. Expense
Gross Profit
Interest Expense
Interest Expense (Positive)
Interest Income
Net Income
Net Income (Continuing Operations)
Net Income (Discontinued Operations)
Net Income Including Noncontrolling Interests
Net Interest Income
Net Interest Income (for Banks)
Net Investment Income
Net Policyholder Benefits/Claims
Non Interest Income
Non Operating Income
Operating Income
Other Expense
Other Income (Expense)
Other Income (Minority Interest)
Other Net Income (Loss)
Other Noninterest Expense
Other Operating Expense
Policy Acquisition Expense
Pre-Tax Income
Preferred Dividends
Research & Development
Revenue
Selling and Marketing Expense
Selling, General, & Admin. Expense
Shares Outstanding (Basic Average)
Shares Outstanding (Diluted Average)
SpecialCharges
Tax Expense
Tax Provision
Tax Rate %
Total Expenses
Total Noninterest Expense
Total Operating Expense
Total Premiums Earned
Balance Sheet
(83)
Accounts Payable
Accounts Payable & Accrued Expense
Accounts Payable & Accrued Expense for Financial Companies
Accounts Receivable
Accumulated Depreciation
Accumulated other comprehensive income (loss)
Additional Paid-In Capital
Allowance For Loans And Lease Losses
Balance Sheet Cash And Cash Equivalents
Buildings And Improvements
Cash And Cash Equivalents
Cash, Cash Equivalents, Marketable Securities
Common Stock
Construction In Progress
Current Accrued Expense
Current Deferred Revenue
Current Deferred Taxes Liabilities
Deferred Policy Acquisition Costs
DeferredTaxAndRevenue
Equity Investments
Fixed Maturity Investment
Future Policy Benefits
Goodwill
Gross Loan
Gross Property, Plant and Equipment
Intangible Assets
Inventories, Finished Goods
Inventories, Inventories Adjustments
Inventories, Other
Inventories, Raw Materials & Components
Inventories, Work In Process
Investments And Advances
Land And Improvements
Loans Receivable
Long-Term Capital Lease Obligation
Long-Term Debt
Long-Term Debt & Capital Lease Obligation
Machinery, Furniture, Equipment
Marketable Securities
Minority Interest
Money Market Investments
Net Loan
NonCurrent Deferred Liabilities
Notes Receivable
Other Assets for Banks
Other Assets for Insurance Companies
Other Current Assets
Other Current Liabilities
Other Current Payables
Other Current Receivables
Other Gross PPE
Other Liabilities for Banks
Other Liabilities for Insurance Companies
Other Long Term Assets
Other Long-Term Liabilities
Other Stockholders Equity
PensionAndRetirementBenefit
Policyholder Funds
Preferred Stock
Property, Plant and Equipment
Retained Earnings
Securities & Investments
Shares Outstanding (EOP)
Short-Term Capital Lease Obligation
Short-Term Debt
Short-Term Debt & Capital Lease Obligation
Short-term investments
Total Assets
Total Current Assets
Total Current Liabilities
Total Deposits
Total Equity
Total Inventories
Total Liabilities
Total Long-Term Assets
Total Long-Term Liabilities
Total Receivables
Total Stockholders Equity
Total Tax Payable
Treasury Stock
Unearned Income
Unearned Premiums
Unpaid Loss & Loss Reserve
Cashflow statement
(66)
All Taxes Paid
Asset Impairment Charge
Beginning Cash Position
Capital Expenditure
Cash Flow for Dividends
Cash Flow for Lease Financing
Cash Flow from Discontinued Operations
Cash Flow from Financing
Cash Flow from Investing
Cash Flow from Operations
Cash Flow from Others
Cash From Discontinued Investing Activities
Cash from Discontinued Operating Activities
Cash From Other Investing Activities
Cash Paid for Insurance Activities
Cash Payments
Cash Payments for Deposits by Banks and Customers
Cash Payments for Loans
Cash Receipts from Deposits by Banks and Customers
Cash Receipts from Fees and Commissions
Cash Receipts from Loans
Cash Receipts from Operating Activities
Cash Receipts from Securities Related Activities
Cash Receipts from Tax Refunds
Cash Received from Insurance Activities
Change In Inventory
Change In Other Working Capital
Change In Payables And Accrued Expense
Change In Prepaid Assets
Change In Receivables
Change In Working Capital
Deferred Tax
Depreciation, Depletion and Amortization
Dividends Paid
Dividends Received
Effect of Exchange Rate Changes
Ending Cash Position
FFO
Free Cash Flow
Interest and Commission Paid
Interest Paid
Interest Received
Issuance of Debt
Issuance of Stock
Net Change in Cash
Net Income From Continuing Operations
Net Intangibles Purchase And Sale
Net Issuance of Debt
Net Issuance of Preferred Stock
Other Cash Payments from Operating Activities
Other Cash Receipts from Operating Activities
Other Financing
Payments of Debt
Payments on Behalf of Employees
Payments to Suppliers for Goods and Services
Purchase Of Business
Purchase Of Investment
Purchase Of Property, Plant, Equipment
Receipts from Customers
Receipts from Government Grants
Repurchase of Stock
Sale Of Business
Sale Of Investment
Sale Of Property, Plant, Equipment
Stock Based Compensation
Taxes Refund Paid
Technical Indicator
(8)
12-1 Month Momentum %
14-Day RSI
3-1 Month Momentum %
5-Day RSI
50-Day SMA
6-1 Month Momentum %
6-Month Price Index
9-Day RSI