Eve Holding, Inc. Ratios | P/E, ROE & Valuation

On the Key Ratios page for Eve Holding, Inc. (EVEX), the latest P/E of -3.6 frames valuation, while ROE -221.18% and ROIC -64.50% indicates profitability and capital efficiency. Together with the current ratio of 3.48 and debt-to-equity 13.53, these signals help you judge whether valuation is supported by fundamentals across the historical rows.

Financial Performance Ratios

EVEX Historical Per Share Metrics

8 years
Metric (FY)TTM2024202320222021202020192018
Revenue per Share$0.00$0.00$0.00$0.00$0.00$0.00$0.00$0.00
Net Income per Share$-0.61$-0.48$-0.46$-0.68$-0.07$-0.04$-0.03$-0.02
Operating Cash Flow per Share$-0.55$-0.47$-0.34$-0.23$-0.06$-0.04$-0.03$-0.02
Free Cash Flow per Share$-0.60$-0.49$-0.34$-0.24$-0.06$-0.04$-0.03$-0.02
Cash per Share$1.12$1.05$0.57$0.90$0.05$0.01$0.00$0.00
Book Value per Share$0.06$0.43$0.60$1.13$0.05$-0.00$-0.00$0.00
Tangible Book Value per Share$0.04$0.43$0.60$1.13$0.05$-0.00$-0.00$0.00
Interest Debt per Share$0.92$0.47$0.09$0.74$0.00$0.00$0.00$0.00
CAPEX per Share$0.04$0.02$0.00$0.00$0.00$0.00$0.00$0.00

EVEX Historical Valuation Ratios

8 years
Metric (FY)TTM2024202320222021202020192018
Price to Earnings (P/E)-3.56-11.36-15.81-10.51-147.4-232.07-343.61-534.49
Price to Book (P/B)34.0612.6712.236.38205.59-2212.31-5623.730
Price to Sales (P/S)00000000
Enterprise Value to EBITDA-5.18-12.3-15.89-10.29-147.48-134.49-365.560
EV to Sales00000000
EV to Operating Cash Flow-5.26-12.1-21.14-29.95-179.8-248.2-359.260
EV to Free Cash Flow-4.89-11.65-21.1-29.71-179.8-248.2-359.260
Enterprise Value$1.03B$1.65B$2.00B$1.78B$2.68B$2.24B$2.69B$0.00

EVEX Historical Profitability Ratios

8 years
Metric (FY)TTM2024202320222021202020192018
Return on Equity (ROE)-221.18%-111.50%-77.35%-60.65%-139.48%953.29%1636.67%0.00%
Return on Invested Capital (ROIC)-64.50%-60.62%-67.38%-27.42%-44.47%989.53%1733.51%0.00%
Return on Tangible Assets-47.49%-43.42%-52.03%-55.62%-124.89%-19506.34%49003.44%0.00%
Earnings Yield-27.50%-8.80%-6.32%-9.51%-0.68%-0.43%-0.29%-0.19%
Free Cash Flow Yield-27.27%-8.99%-4.69%-3.28%-0.55%-0.40%-0.28%-0.18%
Dividend Yield0.00%0.00%0.00%0.08%0.00%0.00%0.00%0.00%

EVEX Historical Liquidity & Financial Strength

8 years
Metric (FY)TTM2024202320222021202020192018
Current Ratio3.485.274.6612.529.580.050.010
Interest Coverage-14.48-42.71-510.65-0.420000
Income Quality0.910.980.740.340.940.940.980.96
Debt to Equity13.531.070.1600000
Debt to Assets67.48%41.48%10.50%0.00%0.00%0.00%0.00%0.00%
Net Debt to EBITDA-1.3-0.570.170.280.790.1200

EVEX Historical Efficiency Ratios

8 years
Metric (FY)TTM2024202320222021202020192018
Receivables Turnover00000000
Payables Turnover00.180.020.020.12000
Inventory Turnover02.7800.026.33000
Days Sales Outstanding00000000
Days Payables Outstanding02073.216684.1522852.382968000
Days of Inventory on Hand0131.4015267.1657.7000

EVEX Historical Market Metrics

8 years
Metric (FY)TTM2024202320222021202020192018
Enterprise Value to EBITDA-5.18-12.3-15.89-10.29-147.48-134.49-365.560
Market Cap$769.75M$1.57B$2.02B$1.83B$2.69B$2.24B$2.69B$2.69B
Enterprise Value$1.03B$1.65B$2.00B$1.78B$2.68B$2.24B$2.69B$0.00
Dividend Yield0.00%0.00%0.00%0.08%0.00%0.00%0.00%0.00%
Payout Ratio0.00%0.00%0.00%-0.79%0.00%0.00%0.00%0.00%

Frequently Asked Questions

How does Eve Holding, Inc.’s P/E ratio compare with its history?

On this page, you can use the latest P/E (from the Key Ratios table) as your starting point and compare it to the company's multi-year P/E range in the historical rows. When the current P/E sits near its historical average, the multiple is close to that range. Look at trend direction in profitability and cash-flow rows, plus liquidity and leverage, rather than treating the P/E in isolation.

What is Eve Holding, Inc. market cap?

Market cap is the market value of a company's equity and is commonly calculated as share price multiplied by shares outstanding. The latest market cap shown in the table is $769.75M. Pair market cap with valuation multiples (P/E, P/B, P/S) so you can evaluate whether size also corresponds with "quality" and profitability. For a wider view across stocks, you can also use the stock screener.

How does Eve Holding, Inc.’s P/E compare with its industry?

There is no P/E Tickerplace rates as good. Compare the P/E on this page with Eve Holding, Inc.'s own historical range (in the table) and with peers via the Screener and Compare tools. A higher or lower multiple versus peers is a calculated gap, not a recommendation.

How does Eve Holding, Inc. compare to its competitors in key financial ratios?

The fastest way to compare Eve Holding, Inc. with competitors is to use the built-in "Peers Comparison" section on this page and the Compare tool. Focus on a small set of ratios that work together: P/E for valuation, ROE/ROIC for profitability and capital efficiency, current ratio and interest coverage for liquidity and solvency, and debt-to-equity for leverage risk. When you see Eve Holding, Inc. outperform peers on profitability while keeping valuation and leverage reasonable, it often signals stronger fundamentals.

What do Eve Holding, Inc.'s liquidity and leverage ratios show?

Liquidity and leverage figures on this page are published ratios, not a verdict that Eve Holding, Inc. is financially strong. Current ratio is about 3.48, which is above 1.0 and can indicate more comfortable short-term liquidity. Interest coverage is about -14.48, implying less buffer for servicing interest costs. Debt-to-equity is about 13.53, suggesting higher leverage than a low-debt profile. Pair them with ROE/ROIC and cash-flow rows in the table. Tickerplace does not rate the company as a good or poor investment.

What do Eve Holding, Inc.'s financial ratios say about its future growth?

Ratios are a way to see what the business is likely to sustain. Look for upward trends in profitability metrics (ROE and ROIC), improving earnings/cash-flow backed measures, and stable or strengthening liquidity. If Eve Holding, Inc. is sustaining strong returns (for example ROE at -221.18% and ROIC at -64.50%) while debt levels and interest coverage remain manageable, growth expectations may be more credible. If valuation multiples expand while returns weaken, the market may be pricing optimistic growth ahead of results.