Color Star Technology Financial Ratios for Analysis 2009-2024 | ADD

Fifteen years of historical annual and quarterly financial ratios and margins for Color Star Technology (ADD).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
1.163.015.551.855.980.981.161.091.221.311.231.441.611.772.130.21
0.00---------0.030.06----
0.06----0.592.693.211.641.471.810.880.240.19-0.31
29.57-48.2638.98--14.682.433.248.519.4918.4219.7018.5920.78-
-954.18--477.62-142.33---7.31-19.48-23.57-6.87-35.29-35.61-9.836.5614.94-
-954.18--477.62-142.33---7.31-19.48-23.57-6.87-35.29-35.61-9.836.5614.94-
-800.04--441.92-87.54---4.60-16.86-19.93-3.03-30.37-31.18-6.809.3818.08-
-949.12--467.39-142.08---16.18-24.50-26.19-5.52-29.17-31.45-4.3813.4717.39-
-949.12--467.39-121.44---16.18-24.50-29.45-7.51-34.19-31.68-4.2912.3713.97-
0.10-0.310.08--0.860.560.560.430.320.510.880.951.09-
------91.3570.1350.7535.8228.2154.1457.0776.3734.12-
1.76-1.772.12--1.020.941.131.340.910.991.301.582.48-
207-206172--357387322273401367280230147-
-145.01-153.14-159.38-12.53-78.43-1,278.70-76.27-111.73-74.81-10.49-41.20-41.63-7.8918.2225.6783.34
-1,767.78-352.08-337.50-14.90-78.43-1,278.70-76.27-111.73-74.81-10.49-41.20-41.63-7.8918.2225.66-176.43
-97.36-125.99-144.41-11.89-72.60-12.29-13.86-13.73-16.56-3.25-10.91-16.19-3.7910.4518.3491.56
-144.94-153.14-159.38-12.53-78.43-1,278.70-76.27-111.73-74.81-10.49-40.03-39.17-7.8918.2225.6783.34
0.351.5310.0527.8910.292.9070.701653877281,0871,5252,127---
-0.07-0.86-7.58-1.65-8.71-7.3733.3030.01108-267.85189-461.16-265.08-71.43-5.52115
-0.07-0.86-7.33-2.83-15.58-7.3731.4226.29104-267.57179-451.88-249.93-108.20-213.9554.45

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
1.151.161.141.091.061.091.091.071.151.221.321.311.361.311.321.281.301.231.261.291.321.441.641.441.531.611.661.721.781.771.711.701.682.131.491.231.431.261.51
----------------0.010.030.040.050.060.060.06----------------
2.592.692.853.083.653.212.663.692.411.641.221.361.171.471.601.601.391.811.631.441.370.880.330.260.320.240.270.250.050.190.190.200.16-0.000.000.000.120.15
17.0913.2717.2118.5410.5116.1410.80-6.22-12.77-13.68-5.7111.8812.0112.29-3.189.008.8910.45-1.1212.7511.1921.070.8114.8123.8021.0610.9617.7024.1121.9317.4319.3513.3121.5225.2919.9916.8432.3441.82
-0.73-47.175.126.81-1.576.944.28-34.06-66.78-112.21-13.84-8.40-7.07-17.8132.31-17.51-1.58-0.70-58.55-55.25-62.93-51.84-125.17-18.25-18.93-29.16-27.74-2.592.343.356.0511.756.2615.4316.0515.6112.3234.7133.17
-0.73-47.175.126.81-1.576.944.28-34.06-66.78-112.21-13.84-8.40-7.07-17.8132.31-17.51-1.58-0.70-58.55-55.25-62.93-51.84-125.17-18.25-18.93-29.16-27.74-2.592.343.356.0511.756.2615.4316.0515.6112.3234.7133.17
---------------------------------------
-7.10-52.512.062.89-21.72-10.082.71-34.97-71.35-119.72-16.37-10.32-8.11-16.9826.43-16.401.995.11-52.26-48.18-57.42-44.09-121.12-16.37-14.88-16.20-24.291.848.5012.6217.8212.1913.0227.2118.1833.44-20.4339.1834.82
-7.10-52.512.062.89-21.72-10.082.71-34.97-71.35-144.04-16.37-10.32-8.11-20.2419.03-16.460.40-0.35-71.78-48.18-57.42-39.78-121.62-16.26-17.48-14.23-22.231.046.9414.1215.419.3610.6923.2414.5430.37-23.2239.1824.73
0.230.180.210.150.180.120.160.160.080.080.150.150.120.090.040.130.150.130.050.080.060.100.060.150.190.240.120.260.290.340.170.270.280.360.190.360.330.260.20
30.8419.1720.1911.1128.7912.4017.9725.4412.177.9714.769.468.797.113.287.1411.3411.275.079.168.9510.468.4717.9920.4215.118.4216.6815.3126.209.1711.4115.4211.255.9911.199.818.117.00
0.290.210.250.210.270.190.310.340.180.150.370.410.340.280.120.310.370.370.160.210.150.200.090.280.280.350.180.410.430.570.310.520.590.830.561.041.040.920.58
30642735843432946429526648859424321926332574028824624557342561045396532632325648821720815928717215310916186.1786.6297.38154
-9.71-51.112.583.36-37.77-9.453.47-50.36-33.23-48.91-8.17-5.07-2.95-5.852.35-7.170.20-0.17-12.47-12.42-11.38-10.43-14.22-5.00-7.33-7.04-4.980.503.558.384.764.605.0311.764.8122.39-18.7118.899.39
-9.71-51.112.583.36-37.77-9.453.47-50.36-33.23-48.91-8.17-5.07-2.95-5.852.35-7.170.20-0.17-12.47-12.42-11.38-10.43-14.22-5.00-7.33-7.04-4.980.503.558.384.764.605.0311.754.4819.99-15.0215.637.47
-1.64-9.290.430.43-3.83-1.160.42-5.45-5.77-10.83-2.46-1.50-0.99-1.810.74-2.090.06-0.04-3.64-3.84-3.67-4.06-7.03-2.43-3.26-3.39-2.560.272.014.812.672.572.998.402.7510.85-7.5610.074.94
-9.71-51.112.583.36-37.77-9.453.47-50.36-33.23-48.91-8.17-5.07-2.95-5.852.35-7.170.20-0.16-11.94-11.79-10.72-9.82-13.42-5.00-7.33-7.04-4.980.503.558.384.764.605.0311.764.4819.99-15.0215.637.47
68.3870.701641471331651781712683875906346797287997798901,0871,0891,2341,3801,5251,6631,889-2,127-------------
5.5633.3039.7239.1427.4430.0191.27-14.3363.2610867.33-16.51138-267.85-263.21-399.34-165.72189360253-78.18-461.1646.1597.18-31.34-263.10-248.45-76.75157-72.78-57.85-64.12-47.73-5.0712931.6366.381207.53
5.5631.4238.8738.4027.2426.2990.39-15.1962.5910467.31-16.53138-267.57-262.90-400.15-166.44179362257-79.73-451.8857.07108-32.76-248.13-255.04-82.38156-110.24-63.87-67.81-32.00-196.27-7.0221.6962.0156.995.82