AMEN Properties Financial Ratios for Analysis 2009-2025 | AMEN

Fifteen years of historical annual and quarterly financial ratios and margins for AMEN Properties (AMEN).

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
5.594.958.127.708.6813.4612.517.888.518.2417.052.774.925.836.615.01
---------------0.06
--0.01-----0.05------0.08
59.2059.9069.2763.4128.5836.5567.7160.2823.9937.4558.6657.8852.7861.4746.6456.39
26.5424.4235.4517.77-27.37-63.20-6.17-23.79-115.13-76.93-11.080.53-20.935.57-16.87-23.34
26.5424.4235.4517.77-27.37-63.20-6.17-23.79-115.13-76.93-11.080.53-20.935.57-16.87-23.34
39.5936.4340.9131.63-31.945.5947.8633.52-30.273.3529.0338.4021.6642.1010932.67
62.0264.7885.7353.06-60.9017.2411292.1219582.1726186.5148.5029.36-135.58-30.04
52.4255.5882.8851.45-59.751.0211289.9719277.9722575.4048.321.56-134.36-17.89
0.660.580.610.580.220.420.320.170.070.180.210.260.220.250.170.11
----------------
13.279.0110.498.655.586.379.187.081.239.059.772.517.548.717.335.68
27.5140.5034.8142.2265.3757.3439.7851.5729740.3437.3514548.4241.9249.7764.25
38.2935.8055.7732.88-14.250.4638.7316.0814.3014.8956.2124.5712.367.24-23.81-3.90
38.2935.8055.7739.82-18.120.5146.4022.1521.3041.1596.5854.9429.0515.27-44.50-7.92
34.5732.2350.6929.76-13.100.4336.2715.4413.1814.2954.4522.4411.806.98-23.06-3.44
38.2935.8055.7732.88-14.250.4638.7316.0814.3014.8956.2124.5712.367.24-23.81-3.67
10510811490.5190.431132522832931802552032192724605.68
0.000.000.000.000.000.000.000.00-3.5715.8215024.536.1829.4138.5622.67
---------3.6619.0719424.43-6.4029.4538.6422.35

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
2024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
5.593.173.092.824.953.224.1110.368.1217.3810.365.357.7014.6712.578.918.688.3011.1915.0213.4613.2219.767.1812.5133.6337.1918.507.8829.0530.0628.858.514.733.792.988.248.7815.3516.2417.058.054.391.942.774.454.795.344.924.325.572.455.835.578.498.176.614.044.544.105.015.574.674.10
----------------------------------------------------------0.020.060.060.070.070.07
--------0.01-----------------------0.050.120.130.15----------------------0.040.080.080.090.100.10
49.6552.8564.3763.1950.5363.5766.2555.7463.8373.2666.9272.2665.4665.6068.1446.2461.9427.81-1,036.6046.2640.829.9741.4946.0261.8656.5762.3277.5344.8860.4857.1873.9935.802.2429.0421.1140.9438.5231.3337.2744.4960.4261.6665.0757.6059.2350.3564.2953.6752.4447.9156.5446.7767.7464.5163.944.8758.5949.2172.4179.8241.2961.8774.49
13.6416.9833.0133.114.0927.3237.2922.7411.8144.6640.3642.024.1536.8420.47-7.49192-103.00-2,393.95-81.74-60.80-96.30-69.68-39.78-10.27-33.54-27.3115.50-55.90-35.41-37.7820.06-98.41-186.95-94.71-106.51-62.85-67.89-92.45-90.67-50.64-15.045.796.66-1.544.87-8.577.42-33.54-14.72-19.41-16.01-14.348.5318.724.31-73.695.38-20.3418.0627.78-34.13-0.28-3.81
13.6416.9833.0133.114.0927.3237.2922.7411.8144.6640.3642.024.1536.8420.47-7.49192-103.00-2,393.95-81.74-60.80-96.30-69.68-39.78-10.27-33.54-27.3115.50-55.90-35.41-37.7820.06-98.41-186.95-94.71-106.51-62.85-67.89-92.45-90.67-50.64-15.045.796.66-1.544.87-8.577.42-33.54-14.72-19.41-16.01-14.348.5318.724.31-73.695.38-20.3418.0627.78-34.13-0.28-3.81
----------------------------------------------------------------
27.7474.9477.1955.7488.7554.1955.4866.5346.1091.6812178.8336.5359.3877.9135.20259-51.84-459.60-375.48-36.50-23.5319.7181.4629.5536.0331983.0520010511.9460.33645558-3.01-278.06-23.9066.48-24.3832558138968.4779.9113370.6153.4278.401679.6443.43-22.058.3132.5357.2710.37-223.24-102.69-214.99-36.2023.18-47.67-2.09-12.09
35.9673.0944.5055.0950.1253.1654.7265.4038.6190.6011878.2834.4157.3675.8036.4920832.61-550.39-377.72-43.06-82.269.0679.9534.2734.0131582.3520198.568.0460.50648551-13.72-278.06-25.3656.83-28.5132351232059.8274.2411064.7346.7572.671871.8536.04-27.73-12.268.5927.74-26.77-253.19-88.33-207.97-21.12-8.0211.83-12.02-26.23
0.110.120.180.180.130.130.160.120.140.180.150.150.170.220.130.090.080.070.000.070.100.070.070.060.080.030.050.110.040.050.040.050.020.010.020.030.050.040.030.030.040.060.080.070.080.070.060.060.060.050.050.050.050.060.060.040.050.030.030.04-0.060.020.080.07
----------------------------------------------------------------
2.152.423.143.951.972.293.962.942.402.512.122.232.553.9912.492.212.032.290.081.851.551.321.481.912.371.001.302.211.612.012.763.020.331.181.341.552.691.641.652.122.011.571.441.850.721.951.811.851.891.882.012.131.872.002.041.731.981.730.540.64-2.860.461.641.33
41.9037.1328.6522.8145.6039.3322.7230.6337.5035.8142.3840.3235.3022.587.2040.7944.3639.341,07248.6658.0368.2460.9147.1938.0089.7569.4640.8055.8544.8532.6129.8227076.2667.1857.8833.4454.9854.4842.4344.7857.2962.4648.5312446.1049.6848.6547.6147.9344.6942.2048.2544.8944.1051.8945.3852.08168141-31.4919754.8267.64
4.2510.689.9612.307.148.7210.958.775.9516.7419.7114.156.4813.1310.413.4418.012.46-2.43-28.10-4.72-5.930.655.843.051.0816.159.638.194.620.353.3013.138.72-0.40-9.06-1.442.52-0.9310.9125.8225.165.545.9311.025.293.284.9811.220.462.02-1.320.471.993.110.43-10.45-3.63-6.24-1.61-1.48-1.23-0.21-0.98
4.2518.5418.0823.537.1416.4116.528.775.9518.8422.2714.157.8513.1310.414.6322.892.46-2.43-28.10-5.22-6.940.655.843.651.2418.4811.5711.286.840.533.3019.5614.92-0.79-21.96-3.982.52-0.9322.4844.3644.5112.3813.7024.6412.337.8311.7926.380.464.72-2.950.984.243.110.80-19.54-6.43-11.05-3.08-3.02-2.53-0.23-2.40
3.848.668.129.866.437.068.787.855.4015.9918.2512.115.8712.509.863.1916.552.20-2.24-26.52-4.43-5.580.625.162.861.0515.799.217.864.520.343.2212.107.60-0.34-7.66-1.382.42-0.9010.6025.0124.145.345.2410.065.083.164.8110.710.451.96-1.190.451.913.010.42-10.12-3.38-5.67-1.40-1.31-1.09-0.18-0.87
4.2510.689.9612.307.148.7210.958.775.9516.7419.7114.156.4813.1310.413.4418.012.46-2.43-28.10-4.72-5.930.655.843.051.0816.159.638.194.620.353.3013.138.72-0.40-9.06-1.442.52-0.9310.9125.8225.165.545.9311.025.293.284.9811.220.462.02-1.320.471.993.110.43-10.45-3.63-6.14-1.52-1.39-1.15-0.19-0.90
10511110910810810711011011412011796.7690.5192.1385.3584.4190.4375.4283.431031131391692222523403533042832632652822932422101861801992202422552331891942031982032102192162362492723664234464605185375635.68565566573
0.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.0044.5142.7633.51-3.572.843.86-0.8815.8214.684.7632.9315079.7218.8214.6724.5312.676.663.556.187.003.93-4.2329.4127.4616.562.5738.5655.5539.9628.7922.6730.9522.755.47
-----------------------------44.4942.7633.51-3.662.833.81-0.9319.0717.928.1136.4119479.6618.7814.6324.4312.646.623.55-6.407.164.16-4.0029.4527.4916.592.5738.6455.3640.7029.1122.3530.6422.705.39