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Kolibri Kapital

OB:KOLKAP-ME
Snowflake Description

Flawless balance sheet and overvalued.

The Snowflake is generated from 30 checks in 5 different areas, read more below.
KOLKAP-ME
OB
NOK16M
Market Cap
  1. Home
  2. NO
  3. Diversified Financials
Company description

Kolibri Kapital AS provides loans to small and medium-sized microfinance institutions in Latin America, Asia, and Africa. The last earnings update was 20 days ago. More info.


Add to Portfolio Compare Print
  • Kolibri Kapital has significant price volatility in the past 3 months.
KOLKAP-ME Share Price and Events
7 Day Returns
1.8%
OB:KOLKAP-ME
-3.8%
Europe Diversified Financial
-2%
NO Market
1 Year Returns
1008.9%
OB:KOLKAP-ME
-13.3%
Europe Diversified Financial
-6.9%
NO Market
KOLKAP-ME Shareholder Return
  7 Day 30 Day 90 Day 1 Year 3 Year 5 Year
Kolibri Kapital (KOLKAP-ME) 1.8% 47.4% 60% 1008.9% - -
Europe Diversified Financial -3.8% -6% -1.3% -13.3% 9.4% 34.9%
NO Market -2% -4.7% -2% -6.9% 29.1% 16.3%
1 Year Return vs Industry and Market
  • KOLKAP-ME outperformed the Diversified Financial industry which returned -13.3% over the past year.
  • KOLKAP-ME outperformed the Market in Norway which returned -6.9% over the past year.
Price Volatility
KOLKAP-ME
Industry
5yr Volatility vs Market
Related Companies

KOLKAP-ME Value

 Is Kolibri Kapital undervalued based on future cash flows and its price relative to the stock market?

Value is all about what a company is worth versus what price it is available for. If you went into a grocery store and all the bananas were on sale at half price, they could be considered undervalued.
INTRINSIC VALUE BASED ON FUTURE CASH FLOWS
  • It is not possible to calculate the future cash flow value for Kolibri Kapital. This is due to cash flow or dividend data being unavailable. The share price is NOK56.
PRICE RELATIVE TO MARKET
We can also value a company based on what the stock market is willing to pay for it. This is similar to the price of fruit (e.g. Mangoes or Avocados) increasing when they are out of season, or how much your home is worth.

The amount the stock market is willing to pay for Kolibri Kapital's earnings, growth and assets is considered below, and whether this is a fair price.
Price based on past earnings
Are Kolibri Kapital's earnings available for a low price, and how does this compare to other companies in the same industry?
Raw Data
OB:KOLKAP-ME PE (Price to Earnings) Ratio Data Sources
Data Point Source Value
Earnings Per Share * Company Filings (2018-12-31) in NOK NOK-8.63
OB:KOLKAP-ME Share Price ** OB (2019-05-10) in NOK NOK56
Europe Diversified Financial Industry PE Ratio Median Figure of 35 Publicly-Listed Diversified Financial Companies 13.14x
Norway Market PE Ratio Median Figure of 131 Publicly-Listed Companies 12.8x

* Trailing twelve months (TTM) annual GAAP earnings per share excluding extraordinary items.

** Primary Listing of Kolibri Kapital.

OB:KOLKAP-ME PE (Price to Earnings) Ratio Calculation
Calculation Outcome
PE Ratio

= OB:KOLKAP-ME Share Price ÷ EPS (both in NOK)

= 56 ÷ -8.63

-6.49x

Learn more about our ratios and growth rates in Simply Wall St’s analysis model >

  • Kolibri Kapital is loss making, we can't compare its value to the Europe Diversified Financial industry average.
  • Kolibri Kapital is loss making, we can't compare the value of its earnings to the Norway market.
Price based on expected Growth
Does Kolibri Kapital's expected growth come at a high price?
Raw Data
OB:KOLKAP-ME PEG (Price to Earnings to Growth) Ratio Data Sources
Data Point Source Value
PE Ratio See PE Ratio Section -6.49x
Net Income Annual Growth Rate See Future Growth Section.
Line of Best Fit* through Consensus Estimate Earnings of 0 Analysts
Not available
Europe Diversified Financial Industry PEG Ratio Median Figure of 17 Publicly-Listed Diversified Financial Companies 1.26x
Norway Market PEG Ratio Median Figure of 101 Publicly-Listed Companies 0.87x

*Line of best fit is calculated by linear regression .

Learn more about our ratios and growth rates in Simply Wall St’s analysis model >

  • Unable to calculate PEG ratio for Kolibri Kapital, we can't assess if its growth is good value.
Price based on value of assets
What value do investors place on Kolibri Kapital's assets?
Raw Data
OB:KOLKAP-ME PB (Price to Book) Ratio Data Sources
Data Point Source Value
Book Value per Share Company Filings (2018-12-31) in NOK NOK92.74
OB:KOLKAP-ME Share Price * OB (2019-05-10) in NOK NOK56
Europe Diversified Financial Industry PB Ratio Median Figure of 53 Publicly-Listed Diversified Financial Companies 1.19x
Norway Market PB Ratio Median Figure of 213 Publicly-Listed Companies 1.12x
OB:KOLKAP-ME PB (Price to Book) Ratio Calculation
Calculation Outcome
PB Ratio

= OB:KOLKAP-ME Share Price ÷ Book Value per Share (both in NOK)

= 56 ÷ 92.74

0.6x

* Primary Listing of Kolibri Kapital.

Learn more about our ratios and growth rates in Simply Wall St’s analysis model >

  • Kolibri Kapital is good value based on assets compared to the Europe Diversified Financial industry average.
X
Value checks
We assess Kolibri Kapital's value by looking at:
  1. Is the discounted cash flow value less than 20%, or 40% of the share price? (2 checks) ( Click here or on bar chart for details of DCF calculation. )
  2. Is the PE ratio less than the market average, and/ or less than the Diversified Financial industry average (and greater than 0)? (2 checks)
  3. Is the PEG ratio within a reasonable range (0 to 1)? (1 check)
  4. Is the PB ratio less than the Diversified Financial industry average (and greater than 0)? (1 check)
  5. Kolibri Kapital has a total score of 1/6, see the detailed checks below.

    Note: We use GAAP Earnings per Share in all our calculations including PE and PEG Ratio.

    Full details on the Value part of the Simply Wall St company analysis model.

KOLKAP-ME Future Performance

 How is Kolibri Kapital expected to perform in the next 1 to 3 years based on estimates from 0 analysts?

In this section we usually present revenue and earnings growth projections based on the consensus estimates of professional analysts to help investors understand the company’s ability to generate profit. But as Kolibri Kapital has not provided enough past data and has no analyst forecast, its future earnings cannot be reliably calculated by extrapolating past data or using analyst predictions.

This is quite a rare situation as 97% of companies covered by Simply Wall St do have past financial data. You can see them here.

Show me the analysis anyway

The future performance of a company is measured in the same way as past performance, by looking at estimated growth and how much profit it is expected to make.

Future estimates come from professional analysts. Just like forecasting the weather, they don’t always get it right!
Annual Growth Rate
29.7%
Expected Diversified Financial industry annual growth in earnings.
Earnings growth vs Low Risk Savings
Is Kolibri Kapital expected to grow at an attractive rate?
  • Unable to compare Kolibri Kapital's earnings growth to the low risk savings rate as no estimate data is available.
Growth vs Market Checks
  • Unable to compare Kolibri Kapital's earnings growth to the Norway market average as no estimate data is available.
  • Unable to compare Kolibri Kapital's revenue growth to the Norway market average as no estimate data is available.
Annual Growth Rates Comparison
Raw Data
OB:KOLKAP-ME Future Growth Rates Data Sources
Data Point Source Value (per year)
Europe Diversified Financial Industry Earnings Growth Rate Market Cap Weighted Average 29.7%
Europe Diversified Financial Industry Revenue Growth Rate Market Cap Weighted Average 1%
Norway Market Earnings Growth Rate Market Cap Weighted Average 13.1%
Norway Market Revenue Growth Rate Market Cap Weighted Average 4%

*Line of best fit is calculated by linear regression .

Industry and Market average data is calculated daily.

Learn more about our growth rate calculations in Simply Wall St’s analysis model.

Analysts growth expectations
Raw Data
OB:KOLKAP-ME Analysts Growth Expectations Data Sources
Data Point Source Value
Past Financials Company Filings (4 months ago) See Below
Future Estimates Average of up to 0 Analyst Estimates (S&P Global) See Below
All numbers in NOK Millions and using Trailing twelve months (TTM) annual period rather than quarterly.
OB:KOLKAP-ME Past Financials Data
Date (Data in NOK Millions) Revenue Cash Flow Net Income *
2018-12-31 2 0 -1
2018-09-30 2 -2
2018-06-30 2 -3
2018-03-31 2 -2
2017-12-31 2 0 -2
2016-12-31 2 0 0

*GAAP earnings excluding extraordinary items.

Super high growth metrics
High Growth Checks
  • Unable to determine if Kolibri Kapital is high growth as no earnings estimate data is available.
  • Unable to determine if Kolibri Kapital is high growth as no revenue estimate data is available.
Past and Future Earnings per Share
The accuracy of the analysts who estimate the future performance data can be gauged below. We look back 3 years and see if they were any good at predicting what actually occurred. We also show the highest and lowest estimates looking forward to see if there is a wide range.
Raw Data
OB:KOLKAP-ME Past and Future Earnings per Share
Data Point Source Value
Past Financials Company Filings (4 months ago) See Below
Future Estimates Average of up to 0 Analyst Estimates (S&P Global) See Below

All data from Kolibri Kapital Company Filings, last reported 4 months ago, and in Trailing twelve months (TTM) annual period rather than quarterly.

OB:KOLKAP-ME Past Financials Data
Date (Data in NOK Millions) EPS *
2018-12-31
2018-09-30
2018-06-30 -8.63
2018-03-31 -8.53
2017-12-31 -8.42
2016-12-31

*GAAP earnings excluding extraordinary items.

Performance in 3 years
In the same way as past performance we look at the future estimated return (profit) compared to the available funds. We do this looking forward 3 years.
  • Unable to establish if Kolibri Kapital will efficiently use shareholders’ funds in the future without estimates of Return on Equity.

Next steps:

  1. Examine Kolibri Kapital's financial health to determine how well-positioned it is against times of financial stress by looking at its level of debt over time and how much cash it has left.
  2. Kolibri Kapital's future outlook can be gauged by looking at industry trends and market size, and determining how well-positioned the company is compared to its competitors. Take a look at other high-growth Diversified Financials companies here
  3. Kolibri Kapital's competitive advantages and company strategy can generally be found in its financial reports archived here.
  4. Use fundamentals to screen for another stock to analyse from our database of over 75,000 companies worldwide
X
Future performance checks
We assess Kolibri Kapital's future performance by looking at:
  1. Is the annual earnings growth rate expected to beat the low risk savings rate, plus a premium to keep pace with inflation?
  2. Is the annual earnings growth rate expected to beat the average growth rate in earnings of the Europe market? (1 check)
  3. Is the annual revenue growth rate expected to beat the average growth rate in revenue of the Europe market? (1 check)
  4. Is the annual earnings growth rate expected to be above 20%? (1 check)
  5. Is the annual revenue growth rate expected to be above 20%? (1 check)
  6. Is the Return on Equity in 3 years expected to be over 20%? (1 check)
Some of the above checks will fail if the company is expected to be loss making in the relevant year.
Kolibri Kapital has a total score of 0/6, see the detailed checks below.

Note 1: We use GAAP Net Income Excluding Exceptional Items for our Earnings in all our calculations.

Full details on the Future part of the Simply Wall St company analysis model.

KOLKAP-ME Past Performance

  How has Kolibri Kapital performed over the past 5 years?

The past performance of a company can be measured by how much growth it has experienced and how much profit it makes relative to the funds and assets it has available.
Past earnings growth
Below we compare Kolibri Kapital's growth in the last year to its industry (Diversified Financial).
Past Earnings growth analysis
We also check if the company has grown in the past 5 years, and whether it has maintained that growth in the year.
  • Kolibri Kapital does not make a profit and their year on year earnings growth rate was negative over the past 5 years.
  • Unable to compare Kolibri Kapital's 1-year earnings growth to the 5-year average as it is not currently profitable.
  • Unable to compare Kolibri Kapital's 1-year growth to the Europe Diversified Financial industry average as it is not currently profitable.
Earnings and Revenue History
Kolibri Kapital's revenue and profit over the past 5 years is shown below, any years where they have experienced a loss will show up in red.
Raw Data

All data from Kolibri Kapital Company Filings, last reported 4 months ago, and in Trailing twelve months (TTM) annual period rather than quarterly.

OB:KOLKAP-ME Past Revenue, Cash Flow and Net Income Data
Date (Data in NOK Millions) Revenue Net Income * G+A Expenses R&D Expenses
2018-12-31 1.64 -1.30 1.85
2018-09-30 1.58 -1.91 1.95
2018-06-30 1.51 -2.52 2.14
2018-03-31 1.59 -2.49 2.14
2017-12-31 1.67 -2.46 2.15
2016-12-31 1.89 -0.44 1.39
2015-12-31 1.87 3.98 1.10
2014-12-31 1.41 5.57 -0.25
2013-12-31 1.12 0.59 1.80

*GAAP earnings excluding extraordinary items.

Performance last year
We want to ensure a company is making the most of what it has available. This is done by comparing the return (profit) to a company's available funds, assets and capital.
  • It is difficult to establish if Kolibri Kapital has efficiently used shareholders’ funds last year (Return on Equity greater than 20%) as it is loss-making.
  • It is difficult to establish if Kolibri Kapital has efficiently used its assets last year compared to the Europe Diversified Financial industry average (Return on Assets) as it is loss-making.
  • It is difficult to establish if Kolibri Kapital improved its use of capital last year versus 3 years ago (Return on Capital Employed) as it is currently loss-making.
X
Past performance checks
We assess Kolibri Kapital's performance over the past 5 years by checking for:
  1. Has earnings increased in past 5 years? (1 check)
  2. Has the earnings growth in the last year exceeded that of the Diversified Financial industry? (1 check)
  3. Is the recent earnings growth over the last year higher than the average annual growth over the past 5 years? (1 check)
  4. Is the Return on Equity (ROE) higher than 20%? (1 check)
  5. Is the Return on Assets (ROA) above industry average? (1 check)
  6. Has the Return on Capital Employed (ROCE) increased from 3 years ago? (1 check)
The above checks will fail if the company has reported a loss in the most recent earnings report. Some checks require at least 3 or 5 years worth of data.
Kolibri Kapital has a total score of 0/6, see the detailed checks below.

Note: We use GAAP Net Income excluding extraordinary items in all our calculations.

Full details on the Past part of the Simply Wall St company analysis model.

KOLKAP-ME Health

 How is Kolibri Kapital's financial health and their level of debt?

A company's financial position is much like your own financial position, it includes everything you own (assets) and owe (liabilities).

The boxes below represent the relative size of what makes up Kolibri Kapital's finances.

The net worth of a company is the difference between its assets and liabilities.
Net Worth
  • Kolibri Kapital is able to meet its short term (1 year) commitments with its holdings of cash and other short term assets.
  • Kolibri Kapital's cash and other short term assets cover its long term commitments.
Balance sheet
This treemap shows a more detailed breakdown of Kolibri Kapital's finances. If any of them are yellow this indicates they may be out of proportion and red means they relate to one of the checks below.
Assets
Liabilities and shares
The 'shares' portion represents any funds contributed by the owners (shareholders) and any profits.
  • Low level of unsold assets.
  • Kolibri Kapital has no debt, it does not need to be covered by short term assets.
Historical Debt
Nearly all companies have debt. Debt in itself isn’t bad, however if the debt is too high, or the company can’t afford to pay the interest on its debts this may have impacts in the future.

The graphic below shows equity (available funds) and debt, we ideally want to see the red area (debt) decreasing.

If there is any debt we look at the companies capability to repay it, and whether the level has increased over the past 5 years.
Raw Data

All data from Kolibri Kapital Company Filings, last reported 4 months ago.

OB:KOLKAP-ME Past Debt and Equity Data
Date (Data in NOK Millions) Total Equity Total Debt Cash & Short Term Investments
2018-12-31 26.77 0.00 3.00
2018-09-30 26.77 0.00 3.00
2018-06-30 27.09 0.00 2.11
2018-03-31 27.09 0.00 2.11
2017-12-31 28.08 0.00 3.06
2016-12-31 30.37 0.00 2.51
2015-12-31 30.81 0.00 2.49
2014-12-31 26.13 0.00 3.94
2013-12-31 20.44 0.00 5.06
  • Kolibri Kapital has no debt.
  • Kolibri Kapital has not taken on any debt in the past 5 years.
CASH RUNWAY ANALYSIS

For companies that have on average been loss making in the past we assess whether they have at least 1 year of cash runway.

  • Kolibri Kapital has sufficient cash runway for more than 3 years based on current free cash flow.
  • Kolibri Kapital has sufficient cash runway for more than 3 years if free cash flow continues to reduce at historical rates of -101.6% each year.
X
Financial health checks
We assess Kolibri Kapital's financial health by checking for:
  1. Are short term assets greater than short term liabilities? (1 check)
  2. Are short term assets greater than long term liabilities? (1 check)
  3. Has the debt to equity ratio increased in the past 5 years? (1 check)
  4. Is the debt to equity ratio over 40%? (1 check)
  5. Is the debt covered by operating cash flow? (1 check)
  6. Are earnings greater than 5x the interest on debt (if company pays interest at all)? (1 check)
  7. Kolibri Kapital has a total score of 6/6, see the detailed checks below.
For companies that are loss making and have been so on average in the past we replace the last 2 checks with:
  1. Does cash and short term investments cover stable operating expenses (recurring G&A and R&D) for more than 3 years? (1 check)
  2. Does cash and short term investments cover growing operating expenses (recurring G&A and R&D) for more than 3 years? (1 check)


Full details on the Health part of the Simply Wall St company analysis model.

KOLKAP-ME Dividends

 What is Kolibri Kapital's current dividend yield, its reliability and sustainability?

Dividends are regular cash payments to you from the company, similar to a bank paying you interest on a savings account.
Annual Dividend Income
Dividend payments
0%
Current annual income from Kolibri Kapital dividends.
If you bought NOK2,000 of Kolibri Kapital shares you are expected to receive NOK0 in your first year as a dividend.
Dividend Amount
Here we look how much dividend is being paid, if any. Is it above what you can get in a savings account? It is up there with the best dividend paying companies?
  • Unable to evaluate Kolibri Kapital's dividend yield against the bottom 25% of dividend payers as the company has not reported any payouts.
  • Unable to evaluate Kolibri Kapital's dividend against the top 25% market benchmark as the company has not reported any payouts.
Annualized Historical and Future Dividends
It is important to see if the dividend for a company is stable, and not wildly increasing/decreasing each year. This graph shows you the historical rate to count toward your assessment of the stock.

We also check to see if the dividend has increased in the past 10 years.
Raw Data
OB:KOLKAP-ME Annualized Past and Future Dividends
Data Point Source Value
Past Annualized Dividend Yield S&P Global Market Data See Below
Past Dividends per Share Company Filings/ Annualized Dividend Payments See Below
Future Dividends per Share Estimates Average of up to 0 Analyst Estimates (S&P Global) See Below
Europe Diversified Financial Industry Average Dividend Yield Market Cap Weighted Average of 30 Stocks 3.3%
Norway Market Average Dividend Yield Market Cap Weighted Average of 109 Stocks 4.5%
Norway Minimum Threshold Dividend Yield 10th Percentile 1.8%
Norway Bottom 25% Dividend Yield 25th Percentile 2.6%
Norway Top 25% Dividend Yield 75th Percentile 6.5%

Industry and Market average data is calculated daily.

Note all dividend per share amounts are annualized and not quarterly or other period.

Learn more about our ratios and growth rates in Simply Wall St’s analysis model >

  • Unable to perform a dividend volatility check as Kolibri Kapital has not reported any payouts.
  • Unable to verify if Kolibri Kapital's dividend has been increasing as the company has not reported any payouts.
Current Payout to shareholders
What portion of Kolibri Kapital's earnings are paid to the shareholders as a dividend.
  • Unable to calculate sustainability of dividends as Kolibri Kapital has not reported any payouts.
Future Payout to shareholders
  • Insufficient estimate data to determine if a dividend will be paid in 3 years and that it will be sustainable.
X
Income/ dividend checks
We assess Kolibri Kapital's dividend by checking for:
  1. Firstly is the company paying a notable dividend (greater than 1.8%) - if not then the rest of the checks are ignored.
  2. Is current dividend yield above the bottom 25% of dividend payers? (1 check)
  3. Is current dividend yield above the top 25% of dividend payers? (1 check)
  4. Have they paid a dividend for 10 years, and during this period has the dividend been volatile (drop of more than 25%)? (1 check)
  5. If they have paid a dividend for 10 years has it increased in this time? (1 check)
  6. How sustainable is the dividend, can Kolibri Kapital afford to pay it from its earnings today and in 3 years (Payout ratio less than 90%)? (2 checks)
  7. Kolibri Kapital has a total score of 0/6, see the detailed checks below.


Full details on the Dividends part of the Simply Wall St company analysis model.

KOLKAP-ME Management

 What is the CEO of Kolibri Kapital's salary, the management and board of directors tenure and is there insider trading?

Management is one of the most important areas of a company. We look at unreasonable CEO compensation, how long the team and board of directors have been around for and insider trading.
CEO
Sindre Ottesen
CEO Bio

Mr. Sindre Ottesen serves as Chief Executive Officer at Kolibri Kapital ASA. He served as Director of Corporate Finance at Landsbanki Securities (UK) Limited. from January 2007 to August 2008.

CEO Compensation
  • Insufficient data for Sindre to compare compensation growth.
  • Insufficient data for Sindre to establish whether their remuneration is reasonable compared to companies of similar size in Norway.
Management Team

Sindre Ottesen

TITLE
Chief Executive Officer
Board of Directors

Åsmund Paulsen

TITLE
Chairman

Agnete Schjønsby

TITLE
Director

Catrine Liem

TITLE
Director

Nikolai Hegertun

TITLE
Director

Håkon Iversen

TITLE
Director
TENURE
2.4 yrs

Christopher Andersen

TITLE
Director

Tina Sødal

TITLE
Director
Who owns this company?
Recent Insider Trading
  • No 3 month insider trading information.
Recent Insider Transactions
Announced Type Name Entity Role Start End Shares Max Price (NOK) Value (NOK)
X
Management checks
We assess Kolibri Kapital's management by checking for:
  1. Is the CEO's compensation unreasonable compared to market cap? (1 check)
  2. Has the CEO's compensation increased more than 20% whilst the EPS is down more then 20%? (1 check)
  3. Is the average tenure of the management team less than 2 years? (1 check)
  4. Is the average tenure of the board of directors team less than 3 years? (1 check)
  5. Kolibri Kapital has a total score of 0/6, this is not included on the snowflake, see the detailed checks below.


Note: We use the top 6 management executives and board members in our calculations.

Note 2: Insider trading include any internal stakeholders and these transactions .

Full details on the Management part of the Simply Wall St company analysis model.

KOLKAP-ME News

Simply Wall St News

Do Directors Own Kolibri Kapital AS (OB:KOLKAP-ME) Shares?

Every investor in Kolibri Kapital AS (OB:KOLKAP-ME) should be aware of the most powerful shareholder groups. … Large companies usually have institutions as shareholders, and we usually see insiders owning shares in smaller companies. … With a market capitalization of øre16m, Kolibri Kapital is a small cap stock, so it might not be well known by many institutional investors.

Simply Wall St -

KOLKAP-ME Company Info

Description

Kolibri Kapital AS provides loans to small and medium-sized microfinance institutions in Latin America, Asia, and Africa. The company was founded in 2000 and is based in Oslo, Norway.

Details
Name: Kolibri Kapital AS
KOLKAP-ME
Exchange: OB
Founded: 2000
NOK16,359,672
292,137
Website: http://www.kolibrikapital.no
Address: Kolibri Kapital AS
Sentralen,
PB 183,
Oslo,
Oslo, 0102,
Norway
Listings
Exchange Symbol Ticker Symbol Security Exchange Country Currency Listed on
OB KOLKAP-ME B Shares Oslo Bors NO NOK 21. Dec 2016
Number of employees
Current staff
Staff numbers
0
Kolibri Kapital employees.
Industry
Specialized Finance
Diversified Financials
Company Analysis and Financial Data Status
Area Date (UTC time)
Company Analysis updated: 2019/05/14 23:05
End of day share price update: 2019/05/10 00:00
Last earnings filing: 2019/04/24
Last earnings reported: 2018/12/31
Last annual earnings reported: 2018/12/31


All dates and times in UTC. All financial data provided by Standard & Poor’s Capital IQ.

Unless specified all financial data is based on a yearly period but updated quarterly. This is known as Trailing Twelve Month (TTM) or Last Twelve Month (LTM) Data. Learn more here.