CH
Canterbury Park Holding
CPHC
NASDAQConsumer Discretionary
Income Statement
Total Revenue$61.56M
Gross Profit$48.52M
Operating Income$6.43M
EBITDA$6.66M
EBIT$3.04M
Pre-tax Income$-814.4K
Net Income$2.11M
Balance Sheet
Net Cash$120.65M
Cash Equivalent$21.47M
Total Debt$199.52K
Net Debt$-120.45M
Book Value$83.78M
Net Cash Per Share23.56
Book Value Per Share16.77
Key Ratios
Return on Equity (ROE)+2.51%
Return on Assets (ROA)+1.92%
Return on Invested Capital (ROI)+2.51%
Net Profit Margin+3.43%
Current Ratio2.29
Quick Ratio2.09
Long-Term Debt / Equitynull