Argan Financial Ratios for Analysis 2009-2024 | AGX

Fifteen years of historical annual and quarterly financial ratios and margins for Argan (AGX).

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
1.812.172.271.982.935.122.651.681.871.691.811.771.733.232.991.99
---------------0.02
--------------0.020.05
14.1018.9819.5815.83-2.8517.1016.7321.7324.0721.8234.6717.9916.2915.9510.4114.89
6.369.168.745.87-23.368.3511.9816.6318.0016.7428.9912.708.409.314.916.74
6.369.168.745.87-23.368.3511.9816.6318.0016.7428.9912.708.409.314.916.74
6.789.979.577.05-21.429.2612.4117.1018.3216.9529.3312.978.969.855.359.24
8.5310.119.246.34-19.999.7912.6116.9718.2716.8030.4812.688.439.335.877.58
5.647.277.516.08-17.8610.798.0710.428.797.9517.648.356.544.263.224.54
0.960.930.920.650.491.011.651.051.010.980.701.190.691.401.821.63
---------------140
12.119.0818.8813.666.4313.3333.9612.316.4413.169.5211.208.8413.9480.9217.01
30.1340.2119.3326.7256.8027.3810.7529.6556.6927.7438.3432.5941.3126.184.5121.45
11.1212.3510.977.39-11.9413.1520.2026.4622.6324.8427.4718.317.3410.259.3912.67
12.4113.8712.148.20-13.2114.5922.8531.0428.6728.1031.5922.189.2713.1212.4617.58
5.417.096.453.95-8.3510.8813.3312.0112.2511.1113.419.293.617.676.907.41
11.1212.3510.977.39-11.9413.1520.2026.4622.6324.8427.4718.317.3410.259.3912.38
21.9720.9021.3420.5321.8125.3223.0018.9314.9511.9611.048.537.397.186.515.89
8.63-2.121.7911.123.43-7.16-4.6116.58-2.206.306.822.185.711.41-0.93-0.90
8.42-2.361.7011.022.98-7.71-4.9216.40-2.416.106.741.675.581.38-0.94-0.92

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.631.751.811.882.112.212.172.712.662.402.272.161.941.971.982.062.162.632.933.416.015.255.124.403.242.822.652.001.811.671.681.721.901.841.872.222.041.751.691.721.671.671.812.062.771.991.771.581.641.671.731.782.686.743.232.903.153.022.992.722.402.331.99
-----------------------------------------------------------0.000.010.020.02
-------------------------------------------------------0.000.010.010.020.030.030.040.05
13.7011.3814.3611.7516.8013.7216.8618.8420.6519.6817.7021.0020.7918.7718.8415.9817.866.677.7210.264.70-42.447.7025.3622.4710.9311.8616.1919.7917.4018.2920.8527.0921.7120.2323.0429.2424.7621.1823.7621.1419.6334.7737.6336.7427.9324.2417.6415.5915.8614.4714.8317.6424.3719.4616.3216.7812.735.1111.2910.6311.7722.48
8.234.137.124.809.373.508.058.0911.359.14-0.9411.6913.0210.9410.138.607.48-10.53-14.62-10.52-11.22-65.97-4.9015.7914.884.114.8111.8515.6313.2814.4015.2421.2316.3112.4318.1424.2718.2815.1819.4716.7413.0327.5032.0433.9720.5516.2012.5611.6011.118.538.568.637.128.869.4211.807.03-0.324.675.766.6813.68
8.234.137.124.809.373.508.058.0911.359.14-0.9411.6913.0210.9410.138.607.48-10.53-14.62-10.52-11.22-65.97-4.9015.7914.884.114.8111.8515.6313.2814.4015.2421.2316.3112.4318.1424.2718.2815.1819.4716.7413.0327.5032.0433.9720.5516.2012.5611.6011.118.538.568.637.128.869.4211.807.03-0.324.675.766.6813.68
---------------------------------------------------------------
10.707.1710.327.0812.282.9010.128.7511.789.73-0.1612.5812.8311.5010.258.738.00-8.72-13.73-4.39-8.61-61.43-2.7817.0117.024.655.6612.5716.1313.8114.8815.6321.5716.3312.5618.7824.4018.3815.2619.5516.7813.0827.7232.4536.9723.2816.1812.5511.5911.098.478.648.747.268.939.4711.827.022.465.166.347.6315.47
8.025.007.303.349.032.0311.486.583.577.461.769.969.688.528.157.426.41-1.27-10.57-11.741.83-60.15-2.5227.8512.423.424.147.4010.458.959.8410.3012.119.385.789.4811.608.785.869.748.386.7915.4018.8021.8213.7411.348.147.516.978.204.627.863.792.883.396.313.80-1.983.244.104.708.98
0.310.250.280.290.280.220.240.290.280.200.230.200.200.200.190.210.160.120.140.120.150.110.180.230.270.270.310.360.370.320.320.310.340.280.280.310.260.210.260.310.250.140.180.240.280.210.250.290.340.280.270.230.180.140.240.340.410.430.240.490.510.500.41
-------------------------------------------------------33.4922.7126.25-20.7627.3433.3632.25
2.382.633.483.283.171.712.373.114.752.784.653.483.083.904.084.162.952.711.831.671.371.032.422.672.963.976.452.783.583.233.774.094.971.841.812.382.162.343.515.182.981.782.4911.672.332.412.322.893.743.443.482.542.322.802.431.993.824.0910.7915.342.752.854.32
37.7934.2225.8827.4428.3552.7637.9928.9418.9632.3519.3425.8829.1823.0722.0421.6330.5133.2449.2353.7565.6487.5637.1433.7030.3822.6813.9532.3325.1227.8523.8722.0018.1148.9649.6337.8941.6838.4525.6117.3730.1850.4336.147.7138.5637.4138.7131.1324.0426.1625.8435.4838.8432.1437.0645.1423.5522.018.345.8732.7831.6220.86
5.912.694.131.924.480.765.432.851.522.48-0.103.543.783.252.962.861.73-0.24-2.12-1.300.27-8.27-0.588.104.561.351.974.957.926.587.107.179.055.944.136.777.635.805.658.936.732.926.368.549.875.484.685.105.324.312.812.401.510.761.262.554.192.600.782.213.123.596.36
6.553.004.612.155.010.856.093.221.722.76-0.113.894.173.603.293.171.92-0.26-2.34-1.450.30-9.21-0.649.025.121.522.235.639.037.618.338.5510.897.365.237.658.666.516.3910.027.613.347.319.9411.566.565.676.276.545.383.553.081.910.971.623.285.423.411.032.944.194.908.84
2.501.262.010.972.520.443.111.891.001.52-0.062.021.971.741.581.591.00-0.15-1.48-0.960.23-6.91-0.486.463.300.921.302.683.902.923.223.444.843.072.243.934.172.712.524.042.941.293.104.786.733.082.382.242.442.021.381.221.040.670.951.833.121.910.571.582.082.353.72
5.912.694.131.924.480.765.432.851.522.48-0.103.543.783.252.962.861.73-0.24-2.12-1.300.27-8.27-0.588.104.561.351.974.957.926.587.107.179.055.944.136.777.635.805.658.936.732.926.368.549.875.484.685.105.324.312.812.401.510.761.262.554.192.600.782.203.093.536.22
22.8221.9621.9721.3621.3420.7220.9020.0219.9520.7121.3422.1621.6020.9820.5321.0720.6921.5321.8122.4822.9723.1225.3225.6623.8823.0723.0022.3922.2120.3718.9317.5617.1216.0014.9514.3114.0412.7511.9612.9112.3611.4311.0410.2710.079.068.538.038.187.727.397.067.407.247.187.096.956.686.516.546.366.145.89
6.571.308.636.802.55-0.09-2.12-5.28-3.99-2.651.792.612.951.0911.129.006.522.573.431.02-3.37-2.33-7.16-6.31-3.73-3.89-4.61-1.442.192.6016.5811.887.382.90-2.20-3.08-1.94-0.156.305.844.812.766.821.95-1.37-0.252.183.062.401.425.713.811.54-0.421.410.900.52-0.16-0.93-1.49-1.58-1.19-0.90
6.381.288.426.652.48-0.14-2.36-5.47-4.03-2.671.702.542.891.0311.028.916.452.532.980.61-3.57-2.46-7.71-6.78-4.08-4.13-4.92-1.692.012.4816.4011.727.272.89-2.41-3.26-2.11-0.246.105.714.802.766.741.89-1.43-0.301.672.642.131.345.583.801.54-0.421.380.870.50-0.18-0.94-1.50-1.59-1.19-0.92