ALT5 Sigma Financial Ratios for Analysis 2009-2024 | ALTS

Fifteen years of historical annual and quarterly financial ratios and margins for ALT5 Sigma (ALTS).

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
202320222021202020192018201720162015201420132012201120102009
0.060.380.390.340.500.921.341.041.101.391.361.361.561.061.17
0.06--0.78----0.200.270.250.270.320.290.170.26
0.060.02-0.621.710.270.030.221.361.531.001.111.351.091.412.72
--22.1626.0622.1830.0431.6430.5522.7525.0625.5625.6729.0030.4228.02
---8.05-26.56-35.42-16.57-0.562.77-3.671.952.66-2.825.722.84-2.13
---8.05-26.56-35.42-16.57-0.562.77-3.671.952.66-2.825.722.84-2.13
--2.39-14.31-22.93-4.105.225.59-2.442.783.45-2.016.523.68-0.98
---7.60-26.35-43.20-17.229.79-0.10-5.051.151.61-3.834.812.44-3.29
---42.19-25.09-34.09-15.240.28-3.59-2.430.592.46-3.373.521.86-3.30
--2.641.391.211.050.890.972.392.792.762.732.712.713.22
--25.7715.3620.2632.1437.2725.115.166.095.724.924.874.544.34
--9.488.925.276.234.144.508.8311.2310.3516.8516.1621.5023.82
--38.4940.9169.2058.5888.1881.0841.3232.5135.2821.6622.5816.9715.33
51734838.20-359.17-115.69-25.9520.57-4.16-32.655.1223.63-33.6727.1716.04-59.15
257-323.3937.0573.11162-2,584.32355-4.18-32.655.1223.63-33.6729.0417.67-59.55
-92.4717.15-21.85-34.90-41.21-16.0011.51-1.11-8.411.697.48-10.6610.094.89-10.61
-143.5547.6967.80-359.17-115.69-25.9520.57-3.32-23.763.8517.23-22.7519.1713.30-43.89
2.265.95-3.051.295.3912.7519.088.4210.2113.4213.1511.9115.7211.066.16
0.33-0.97-1.99-0.33-1.992.770.912.14-2.923.111.520.501.183.161.46
0.33-0.97-2.61-0.61-2.112.545.911.84-3.262.421.09-0.24-0.32-1.935.97

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.730.150.060.210.100.180.380.390.360.470.390.520.500.600.340.410.370.380.500.800.720.670.920.980.951.511.341.731.431.281.041.101.051.101.101.191.261.251.391.691.641.581.361.421.381.361.361.291.441.531.561.421.351.321.061.151.201.251.171.231.161.20
0.160.23-0.27----1.380.61-0.20-0.780.340.29------0.130.060.05------0.180.170.200.240.260.230.270.220.220.230.250.220.230.230.270.270.300.320.320.230.290.290.290.300.330.370.170.180.190.220.260.240.450.45
0.450.38-0.21--0.000.02-11.101.97-0.35-0.621.150.770.141.710.820.810.290.270.200.110.060.030.020.040.020.220.150.360.481.361.451.471.451.531.421.091.081.000.730.810.821.110.891.081.121.351.261.170.971.091.031.261.301.411.381.281.192.722.233.012.78
50.62---------24.6725.4420.2516.3928.3430.3026.0817.4419.3226.1924.5818.2633.5233.0525.6827.0624.4238.7237.1324.3823.5730.8926.0024.4321.0722.1226.1121.3123.0924.9524.7527.3722.7327.1126.3226.0023.9324.6926.8726.9828.6128.1429.3330.0428.9332.4130.7329.4725.1832.6629.8724.20
-134.44---------6.610.76-22.16-24.32-26.86-6.71-57.85-40.22-39.83-26.77-31.43-45.69-13.66-16.28-19.13-17.53-8.387.1614.68-21.89-4.285.17-4.42-3.11-6.22-3.942.06-7.26-2.022.042.535.09-0.105.373.721.40-8.97-2.56-0.650.291.918.176.855.111.164.823.771.45-5.023.29-0.57-6.43
-134.44---------6.610.76-22.16-24.32-26.86-6.71-57.85-40.22-39.83-26.77-31.43-45.69-13.66-16.28-19.13-17.53-8.387.1614.68-21.89-4.285.17-4.42-3.11-6.22-3.942.06-7.26-2.022.042.535.09-0.105.373.721.40-8.97-2.56-0.650.291.918.176.855.111.164.823.771.45-5.023.29-0.57-6.43
--------------------------------------------------------------
-104.29---------2.700.01-44.495.77-32.17-7.41-59.40-31.88-69.91-27.48-23.21-43.35-12.25-14.27-20.16-23.00-12.729.2911.8843.49-3.244.15-5.75-3.75-8.10-5.171.28-8.97-2.901.181.964.21-1.374.442.700.42-10.09-3.64-1.68-0.520.997.555.853.952.373.982.820.56-6.022.18-1.95-7.56
27.16----------107.63-7.99-57.865.79-32.40-6.60-60.94-27.02-57.89-20.00-18.04-32.23-15.84-12.27-16.83-16.55-41.646.9919.2029.640.054.11-8.49-1.78-3.25-2.752.00-6.17-1.910.901.072.203.353.382.380.60-7.78-3.77-2.17-0.220.014.906.172.251.203.242.550.37-5.821.60-1.62-7.50
0.03---------0.700.440.310.320.380.470.150.320.390.290.230.190.260.280.230.240.250.210.300.22-0.880.660.630.560.560.590.650.610.680.730.720.740.680.780.780.760.630.600.610.620.600.730.690.710.640.670.800.810.750.780.790.82
----------6.627.845.177.204.027.981.625.316.834.185.635.287.677.425.675.6311.800.630.540.43-25.271.161.151.251.231.351.431.351.521.511.421.481.471.601.691.561.171.051.021.061.081.351.421.431.091.111.371.411.060.971.091.18
0.09---------2.522.192.252.332.412.291.212.131.721.621.491.331.561.411.401.521.190.961.220.85-4.122.783.592.042.052.132.522.602.722.822.752.932.563.033.284.143.913.934.784.793.574.353.494.335.044.525.517.285.584.654.795.70
973---------35.7341.1040.0238.5437.3639.2574.5542.2052.4755.3960.4067.4357.5163.9564.1159.3375.9294.2473.62106-21.8632.4225.0844.2043.8242.1635.7634.6333.0531.9332.7630.6935.1529.6827.4621.7323.0022.8918.8318.7825.1920.6925.8220.8017.8619.9116.3312.3616.1419.3418.8115.78
9.2250.81492-1.670.58-4.88235-34.96-16.16-34.87-2.88-1.17-112.125.91-125.23-15.36-40.04-27.05-63.89-11.72-7.52-10.35-6.77-5.45-6.04-5.966.591.947.0615.1810.7910.66-23.16-5.49-10.69-8.833.48-14.68-4.251.281.824.799.188.175.180.97-20.17-7.28-3.26-0.441.1710.1013.575.632.518.106.250.83-24.476.34-7.00-32.29
-2.9822.3876.91-2.240.82-7.25-218.83-22.26-21.42-33.91-2.800.3847.77-11.0525.498.3725.1327.4389.72131154433-674.65-106.69-300.43-154.2911412.087.0615.1810.8510.66-23.16-5.49-10.69-8.833.48-14.68-4.251.281.824.799.188.175.180.97-20.17-7.83-3.49-0.471.2510.8114.656.162.778.106.250.83-24.646.34-7.00-32.29
0.78-11.54-88.01-0.700.23-1.8911.610.68-0.8815.841.65-0.12-14.691.84-12.17-3.13-9.38-8.62-22.76-5.82-4.09-5.96-4.18-3.42-3.87-4.003.691.093.015.792.892.72-5.54-1.40-2.75-2.391.04-4.37-1.410.540.751.942.912.931.770.32-6.38-2.43-1.13-0.160.433.474.361.750.772.261.810.24-4.391.25-1.28-6.16
2.16-21.57626-0.830.28-2.3632.2713.27-6.24-41.86-5.11-0.78-80.025.91-125.23-15.36-40.04-27.05-63.89-10.20-7.04-9.81-6.77-5.45-6.04-5.966.591.945.7712.648.628.13-17.19-4.22-7.78-6.892.72-11.30-3.201.001.413.706.695.963.640.66-13.62-5.61-2.32-0.310.827.029.123.562.086.675.040.65-18.164.82-3.88-17.77
1.821.01-0.675.857.487.765.95-0.180.45-2.66-3.050.961.493.531.292.883.064.235.398.7110.7511.5612.7513.6316.9617.9919.0823.1711.379.918.428.827.919.7210.2111.0012.0511.6613.4216.7116.8516.1813.1513.8712.6111.9811.9114.3315.2015.7415.7215.3813.9211.9111.0610.369.338.766.167.176.416.64
-0.06-0.090.330.450.630.76-0.97-0.760.430.63-1.99-1.23-0.96-0.17-0.33-0.56-0.810.41-1.99-2.12-0.66-0.152.772.301.862.440.911.071.871.622.143.104.772.47-2.92-1.790.640.923.113.121.762.251.523.632.693.800.50-1.88-0.751.651.182.780.311.953.162.813.206.501.461.601.481.87
-0.06-0.090.330.450.630.76-0.97-0.760.220.63-2.61-1.77-1.57-0.31-0.61-0.56-0.820.40-2.11-2.37-0.80-0.242.542.161.732.435.916.056.866.551.842.904.612.35-3.26-2.020.460.862.422.881.592.211.093.332.603.76-0.24-2.55-1.311.33-0.321.48-0.811.15-1.930.161.845.865.976.201.091.70