Cash Ratio Analysis of Calumet Specialty Products Partners - Deep Dive


Cash Ratio of CLMT
Dec-23
0.0071
Poor Cash Ratio
Dec-22
0.0260
Poor Cash Ratio
Growth
-72.73
%
Cash Ratio Analysis of Calumet Specialty Products Partners
Cash Ratio of Calumet Specialty Products Partners with value of 0.0071 indicates that a company has generated low cash in a period than what is needed to pay off its current liabilities.
Cash Ratio of CLMT drastically fell by -72.73 % this year.
Cash Ratio with value of 0.201 was highest in Year Dec-20 in last Five Years.
Cash Ratio of CLMT trending down for at least three Years.
Latest Cash Ratio with value of 0.0071 is lower than Average Cash Ratio of 0.062 in last five years.
Other Cash Ratio Related Info of CLMT that may interest you.
Calumet Specialty Products Partners Overview
CodePricePrevious PricePrice ChangeSector
CLMT16.2816.07 1.31 % Oil & Gas E&P
Fundamental AnalysisTechnical Analysis
Defination of Cash Ratio
The Cash Ratio measures the liquidity position of the company. This metric indicates how much the company can cover its current liabilities by its cash and cash equivalents.   more ..
Cash Ratio Formula

Cash Ratio Related Ratios
CurrentRatioQuickRatioDebtToEquityRatio

Tsr Stability Index
Very Low Stability Stock
FY - Historical Cash Ratio of Calumet Specialty Products Partners
PeriodDec-23Dec-22Dec-21Dec-20Dec-19Dec-18Dec-17
Cash Ratio0.00710.02600.04230.2010.03380.3750.177
Change-72.73 %-38.52 %-78.93 %494.34 %-90.99 %111.33 %2005.34 %
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FY Chart of Cash Ratio of Calumet Specialty Products Partners


Note : All Data Generated at the End of Trading Hours (EOD Data)