← Insiders

KLTR

VENTE TOTALE: 181 569 titres (~329 959,78 $ US)

Insiders
Manor Eyal
Total bought
Total sold
$329,960
Last activity
2026-08-28
Last synced
2026-09-03 09:53:14 Synced via automated research pipeline

Insider holdings as a share of total assets aren't available for this company.

Price (1 year)

Live chart from TradingView - pulls its own market data, independent of this site's database. Symbol resolution is best-effort (defaults to NASDAQ) since we don't store the exchange prefix.

Market snapshot

Signal

Bearish signal Scored 2026-08-07

KLTR posted a modest earnings beat with improving gross margins and positive industry recognitions, but the catalyst signal is materially undermined by same-day insider selling of ~$319k, reducing conviction.

The first sentence of the analysis written for KLTR on 2026-08-07 - a real excerpt, not a sample. The rest of it, the 0-100 score and the rating it produced are part of Plus. See plans.

Financial ratios

MetricTrend2025-12-312024-12-312023-12-312022-12-312021-12-31
Gross Profit Margin70.6%66.6%64.1%63.3%62.2%
Ebit Margin-3.7%-11.7%-19.6%-34.6%-29.6%
Ebitda Margin-1.2%-8.9%-16.9%-32.9%-28.1%
Operating Profit Margin-4.3%-13.5%-22.1%-33.4%-19.8%
Pretax Profit Margin-5.0%-13.2%-21.4%-35.9%-32.0%
Continuous Operations Profit Margin-6.7%-17.5%-26.5%-40.6%-36.0%
Net Profit Margin-6.7%-17.5%-26.5%-40.6%-36.0%
Bottom Line Profit Margin-6.7%-17.5%-26.5%-40.6%-41.0%
Current Ratio0.7171.1961.1181.2221.791
Quick Ratio0.7171.1961.1181.2221.698
Solvency Ratio-0.048-0.167-0.271-0.404-0.413
Cash Ratio0.2180.3250.3670.4101.468
Price To Earnings Ratio-20.759-10.476-5.735-3.245-6.358
Price To Earnings Growth Ratio0.3330.2740.1600.000-0.498
Forward Price To Earnings Growth Ratio0.3330.2740.1600.000-0.498
Price To Earnings Diluted Ratio-20.759-10.476-5.735-3.245-6.358
Price To Earnings Diluted Growth Ratio0.3330.2740.1600.000-0.498
Price To Book Ratio39.60513.3458.8915.1735.034
Price To Sales Ratio1.3871.8211.5391.3282.601
Price To Free Cash Flow Ratio18.06827.787-21.734-4.246-15.272
Price To Operating Cash Flow Ratio17.24626.603-32.466-4.788-19.415
Debt To Assets Ratio0.2810.2760.2980.2850.173
Debt To Equity Ratio7.3172.0521.8081.3580.454
Debt To Capital Ratio0.8800.6720.6440.5760.312
Long Term Debt To Capital Ratio0.0000.5450.5220.4090.296
Financial Leverage Ratio26.0107.4346.0604.7562.619
Working Capital Turnover Ratio-22.74211.2689.7263.3186.872
Operating Cash Flow Ratio0.1150.120-0.083-0.430-0.225
Operating Cash Flow Sales Ratio0.0800.068-0.047-0.277-0.134
Free Cash Flow Operating Cash Flow Ratio0.9550.9571.4941.1281.271
Debt Service Coverage Ratio-0.164-3.798-7.237-7.020-2.315
Interest Coverage Ratio-3.229-7.784-10.436-17.342-1.625
Short Term Operating Cash Flow Coverage Ratio0.5013.933-5.151-8.084-7.913
Operating Cash Flow Coverage Ratio0.3140.245-0.151-0.796-0.571
Capital Expenditure Coverage Ratio21.99823.480-2.025-7.835-3.686
Dividend Paid And Capex Coverage Ratio21.99823.480-2.025-7.835-3.686
Dividend Payout Ratio0.0000.0000.0000.0000.000
Enterprise Value Multiple-128.072-21.509-9.733-4.287-6.978

Sparkline shows each ratio oldest → newest (left → right).

How the latest year compares

For each ratio: its most recent value, the change versus one year earlier, and versus its 5-year average. higher lower

MetricCurrentvs 1Y agovs 5Y avg
Gross Profit Margin 70.6% 4.0% 5.2%
Ebit Margin -3.6% 8.1% 16.2%
Ebitda Margin -1.2% 7.7% 16.4%
Operating Profit Margin -4.3% 9.2% 14.3%
Pretax Profit Margin -5.0% 8.3% 16.5%
Continuous Operations Profit Margin -6.7% 10.8% 18.8%
Net Profit Margin -6.7% 10.8% 18.8%
Bottom Line Profit Margin -6.7% 10.8% 19.8%
Current Ratio 0.717 -0.479 -0.492
Quick Ratio 0.717 -0.479 -0.473
Solvency Ratio -0.048 0.119 0.213
Cash Ratio 0.218 -0.108 -0.340
Price To Earnings Ratio -20.759 -10.283 -11.444
Price To Earnings Growth Ratio 0.333 0.059 0.279
Forward Price To Earnings Growth Ratio 0.333 0.059 0.279
Price To Earnings Diluted Ratio -20.759 -10.283 -11.444
Price To Earnings Diluted Growth Ratio 0.333 0.059 0.279
Price To Book Ratio 39.605 26.260 25.196
Price To Sales Ratio 1.387 -0.434 -0.349
Price To Free Cash Flow Ratio 18.068 -9.719 17.147
Price To Operating Cash Flow Ratio 17.246 -9.357 19.810
Debt To Assets Ratio 0.281 0.005 0.018
Debt To Equity Ratio 7.317 5.266 4.720
Debt To Capital Ratio 0.880 0.207 0.263
Long Term Debt To Capital Ratio 0.000 -0.544 -0.354
Financial Leverage Ratio 26.010 18.576 16.634
Working Capital Turnover Ratio -22.742 -34.010 -24.430
Operating Cash Flow Ratio 0.115 -0.005 0.216
Operating Cash Flow Sales Ratio 0.080 0.012 0.142
Free Cash Flow Operating Cash Flow Ratio 0.955 -0.003 -0.206
Debt Service Coverage Ratio -0.164 3.633 3.942
Interest Coverage Ratio -3.229 4.555 4.855
Short Term Operating Cash Flow Coverage Ratio 0.501 -3.433 3.844
Operating Cash Flow Coverage Ratio 0.314 0.069 0.506
Capital Expenditure Coverage Ratio 21.998 -1.481 15.612
Dividend Paid And Capex Coverage Ratio 21.998 -1.481 15.612
Dividend Payout Ratio 0.000 0.000 0.000
Enterprise Value Multiple -128.072 -106.563 -93.956

Key metrics

MetricTrend20252024202320222021
Market cap$250.8M$325.4M$269.6M$224.2M$429.3M
Enterprise value$269.6M$342.4M$287.7M$238.5M$324.1M
EV / Sales1.49x1.92x1.64x1.41x1.96x
EV / Op. cash flow18.54x27.99x-34.65x-5.09x-14.66x
EV / Free cash flow19.42x29.24x-23.20x-4.52x-11.53x
EV / EBITDA-128.07x-21.51x-9.73x-4.29x-6.98x
Net debt / EBITDA-8.94x-1.07x-0.61x-0.26x2.27x
Current ratio0.72x1.20x1.12x1.22x1.79x
Income quality-1.21x-0.39x0.18x0.68x0.37x
Graham net-net-$1-$0-$0-$0$0
Tax burden134.0%132.3%123.8%113.0%112.4%
Interest burden136.3%112.8%109.3%103.9%108.0%
Working capital-$35.8M$19.9M$11.8M$24.2M$77.6M
Invested capital$14.4M$59.7M$57.6M$72.5M$100.0M
Return on assets-7.3%-17.3%-25.2%-33.2%-26.6%
Operating ROA-4.5%-13.2%-19.8%-26.3%-20.8%
Return on tangible assets-8.8%-18.4%-27.0%-35.3%-28.2%
Return on equity-190.7%-128.4%-152.9%-158.0%-69.6%
Return on invested capital-11.1%-28.3%-44.0%-53.4%-25.5%
Return on capital employed-20.3%-30.3%-46.1%-57.9%-26.1%
Earnings yield-4.8%-9.6%-17.2%-30.5%-13.8%
Free cash flow yield5.5%3.6%-4.6%-23.5%-6.5%
Capex / Op. cash flow4.5%4.3%-49.4%-12.8%-27.1%
Capex / Depreciation14.7%10.3%86.9%220.8%248.7%
Capex / Sales0.4%0.3%2.3%3.5%3.6%
SG&A / Sales47.4%52.5%55.7%62.0%51.7%
R&D / Sales25.4%27.7%29.9%34.0%29.3%
Stock comp / Sales9.1%14.7%17.1%14.0%10.3%
Intangibles / Total assets16.7%6.2%6.4%6.0%5.8%
Days sales outstanding33d41d49d62d39d
Days payables outstanding26d20d21d56d38d
Operating cycle33d41d49d62d92d
Cash conversion cycle7d21d28d7d54d

Change by theme

Grouped by what each metric measures. Each figure is the change over the period shown — up down versus then.

Change over 1 year

Valuation
Market cap ▼-22.9%EV / Sales ▼-22.2%EV / EBITDA ▼-495.4%EV / Op. cash flow ▼-9.450Earnings yield ▲+0.048
Profitability
Return on equity ▼-0.622Return on assets ▲+0.099Return on invested capital ▲+0.172Return on capital employed ▲+0.100Operating ROA ▲+0.087Income quality ▼-0.814Tax burden ▲+0.017
Efficiency
Days sales outstanding ▼-7.788Days payables outstanding ▲+6.005Operating cycle ▼-7.788Cash conversion cycle ▼-13.793Capex / Sales ▲+0.001R&D / Sales ▼-0.022
Balance-sheet strength
Current ratio ▼-0.479Net debt / EBITDA ▼-7.871Working capital ▼-55695000.000Invested capital ▼-45248000.000Intangibles / Total assets ▲+0.105

Change over 5 years

Valuation
Market cap ▼-41.6%EV / Sales ▼-24.1%EV / EBITDA ▼-1735.4%EV / Op. cash flow ▲+33.197Earnings yield ▲+0.090
Profitability
Return on equity ▼-1.211Return on assets ▲+0.193Return on invested capital ▲+0.145Return on capital employed ▲+0.058Operating ROA ▲+0.163Income quality ▼-1.577Tax burden ▲+0.215
Efficiency
Days sales outstanding ▼-5.715Days payables outstanding ▼-11.960Operating cycle ▼-58.894Cash conversion cycle ▼-46.934Capex / Sales ▼-0.033R&D / Sales ▼-0.039
Balance-sheet strength
Current ratio ▼-1.074Net debt / EBITDA ▼-11.203Working capital ▼-113361000.000Invested capital ▼-85616000.000Intangibles / Total assets ▲+0.109

Employee count

Peer market caps

Congressional trades

No congressional trade data synced.

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