ABCDEFGHIJKLMNOPQRSTUVWXYZ
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Semler Scientific IncMarket Price as 00/00/0000: $
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Fisacal Year (End of December) (in million)20132014201520162017201820192020202120222023
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Fixed-fee license2.273.645.197.2911.9921.1122.9225.7030.5134.0037.30
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Variable-fee license8.9211.6021.5121.3029.00
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Testing service from WellChec1.69-0.16
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Equipemt/supply sale0.120.310.460.390.931.301.001.401.90
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Revenue2.273.647.007.4312.4521.4932.7738.6053.0356.7068.200.000.000.000.00
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Revenue growth#VALUE!59.85%92.60%6.18%67.50%72.59%52.47%17.81%37.36%6.93%20.28%-100.00%#DIV/0!#DIV/0!#DIV/0!
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Cost of revenue0.470.692.851.872.552.703.663.366.124.256.98
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Expense
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Engineering and product development0.361.111.440.871.832.092.482.943.784.85.77
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Sale and marketing2.263.726.273.835.087.208.979.9414.4517.6918.15
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General and administration1.322.454.873.033.844.166.956.419.2412.7414.29
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Strategic streamlining0.73
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Operating expense4.407.9815.429.5913.3116.1522.0622.6433.5839.4845.930.000.000.000.00
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% to Revenue193.40%219.42%220.25%129.04%106.85%75.14%67.32%58.65%63.33%69.63%67.34%#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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Operating income-2.12-4.34-8.42-2.16-0.855.3410.7115.9619.4517.2222.270.000.000.000.00
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% to Revenue-93.40%-119.42%-120.25%-29.04%-6.85%24.86%32.68%41.35%36.67%30.37%32.66%#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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Interest income-0.11-0.18-0.09-0.12-0.23-0.060.000.020.010.492.47
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Related party interest expense-0.27-0.23-0.24
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Loss on extinguishment of loan-0.18
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Change in investment0.64
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Other income0.000.000.000.00-0.010.00-0.010.51-0.01
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Income before tax-2.23-4.52-8.50-2.55-1.505.0510.7016.4919.4617.7125.390.000.000.000.00
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Income tax0.010.03-4.382.482.233.373.373.373.373.373.37
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Net income-2.23-4.52-8.50-2.55-1.515.0215.0814.0117.2214.3422.02-3.37-3.37-3.37-3.37
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Net margin-98.20%-124.21%-121.43%-34.36%-12.13%23.37%46.03%36.28%32.48%25.29%32.29%#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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Earning per share-2.84-1.10-1.72-0.50-0.280.661.881.742.121.792.82#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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1.13
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Common stock (Diluted)0.794.114.935.125.417.638.038.078.148.007.82
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Price at yearend (never assume price will back to previous high)
1.962.561.458.0034.4048.0094.0091.6533.0044.29
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P/E-1.78-1.48-2.91-28.6452.2625.5554.1343.3118.4115.73#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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42.38
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Assets (excluding right-to-use beginning 2020)1.727.503.083.074.247.7218.2934.2450.3662.4677.92
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Cash and cash equivalents+short term investment
0.734.160.410.621.463.287.7422.0837.3243.0957.33
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Other financial assets (current)2.10
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Account receivables0.230.361.280.881.322.803.492.813.623.886.13
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Debt0.062.000.002.812.92
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Equity-0.303.44-1.07-2.92-2.584.2013.0729.7945.5555.6871.80
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Liabilities (excluding lease operating liability beginning 2020)
2.024.064.155.996.823.525.214.044.466.545.960.000.000.000.00
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Invested Capital-0.245.44-1.07-0.110.344.2013.0729.7945.5555.6871.800.000.000.000.00
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Cash flow from operation 1-1.63-3.78-5.11-1.290.446.9211.8317.7320.6315.79325.07
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CapEx0.440.441.100.810.970.841.700.760.832.160.83
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Acquisition
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Intellecture properties
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Equity investment0.250.000.00
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Total of CapEx + Acquisition + investment 20.440.441.100.810.970.841.701.010.832.160.830.000.000.000.00
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Free Cash Flow-2.07-4.22-6.21-2.10-0.536.0710.1416.7219.8113.6324.240.000.000.000.00
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FCF to Net income0.930.930.730.820.351.210.671.191.150.951.100.000.000.000.00
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Stock compensation0.140.192.610.300.340.600.370.250.750.740.99
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% to Cash flow from operation-8.67%-5.03%-50.98%-23.33%77.95%8.69%3.08%1.43%3.63%4.69%3.97%#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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** European companies usually pay compensation to
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management far less than companies in U.S.
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CEO Pay0.3180.4641.1990.7630.8711.5781.1700.7220.8710.870
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% to Revenue14.00%12.77%17.12%10.26%6.99%7.34%3.57%1.87%1.64%1.54%0.00#DIV/0!
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% to OP Income-14.99%-10.69%-14.24%-35.32%-102.06%29.55%10.93%4.52%4.48%5.06%0.00#DIV/0!
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% to Net-14.25%-10.28%-14.10%-29.86%-57.65%31.43%7.76%5.15%5.06%6.07%0.000.00%
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Executive Pay 31.2721.2342.1012.4162.6863.5292.9262.3202.6752.692
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% to Revenue55.95%33.95%30.01%32.51%21.57%16.42%8.93%6.01%5.04%4.75%0.00#DIV/0!
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% to OP Income-59.90%-28.43%-24.95%-111.92%-314.94%66.06%27.33%14.53%13.76%15.63%0.00#DIV/0!
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% to Net-56.98%-27.34%-24.71%-94.61%-177.91%70.27%19.40%16.56%15.53%18.77%0.000.00%
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Director Payna0.7210.2980.1620.1570.1380.1570.6610.736
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% to OP Income#VALUE!-8.57%-13.79%-18.97%2.93%1.29%0.98%3.40%4.27%0.00#DIV/0!
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% to Net#VALUE!-8.49%-11.65%-10.72%3.12%0.91%1.12%3.84%5.13%0.000.00%
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Ratio
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Revenue to assets (asset turnover)#VALUE!0.791.322.423.413.592.521.471.251.010.970.00#DIV/0!#DIV/0!#DIV/0!
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Revenue to invested capital#VALUE!1.403.21-12.57108.759.483.791.801.411.121.070.00#DIV/0!#DIV/0!#DIV/0!
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Net income to assets (ROA)#VALUE!-97.9%-160.7%-83.0%-41.3%84.0%116.0%53.3%40.7%25.4%31.4%-8.6%#DIV/0!#DIV/0!#DIV/0!
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Net income to invested capital (ROIC)#VALUE!-173.6%-389.6%431.8%-1318.8%221.4%174.7%65.4%45.7%28.3%34.5%-9.4%#DIV/0!#DIV/0!#DIV/0!
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Cash to liabilities0.361.020.100.100.210.931.485.478.376.599.62#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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Free cash flow to liabilities-1.02-1.04-1.50-0.35-0.081.721.944.144.442.084.07#DIV/0!#DIV/0!#DIV/0!#DIV/0!
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1 OCF excludes the cash flow change in operating assets and