Artisan Partners Asset Management Financial Ratios for Analysis 2009-2024 | APAM

Fifteen years of historical annual and quarterly financial ratios and margins for Artisan Partners Asset Management (APAM).

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
0.640.550.700.560.530.640.630.370.380.491.698.6513.330.500.33
0.360.420.400.510.590.590.650.630.630.650.60-0.76-1.03--
0.570.710.671.041.441.421.841.691.711.861.51-0.43-0.51-1.00-1.00
45.7148.6254.1248.8546.9850.1449.3646.7448.5749.93-24.8624.2348.7531.1340.18
31.1334.6444.0439.8335.4836.8036.0032.4935.0637.03-38.099.3133.9017.0524.68
31.1334.6444.0439.8335.4836.8036.0032.4935.0637.03-38.099.3133.9017.0524.68
32.1435.4744.6440.6236.3237.5436.7233.2935.6837.48-37.559.9134.5817.8025.66
39.3531.3944.9441.0533.7036.4271.8031.1432.1435.18-30.298.6328.8111.4616.28
20.7618.5224.8623.6416.9516.764.228.328.17-1.24-4.11---16.28
0.690.801.020.780.861.030.950.770.850.981.181.762.021.822.03
---------------
8.529.5910.048.699.5711.318.5112.0713.4111.959.598.9311.5310.419.36
42.8638.0736.3641.9938.1532.2742.8830.2527.2230.5538.0740.8731.6435.0739.01
88.7488.91150161174181139147182226-240.38-6.33-20.27-11.21-12.06
88.7488.91150161174181139147182226-176.96-6.33-20.27-11.21-12.06
22.1820.1236.8026.7825.8631.5818.0118.4822.4328.57-40.2714.8157.8020.2633.09
56.6351.9289.7379.0471.5274.8149.0754.5467.1578.93-70.46-11.13-41.09-11.21-12.06
4.393.513.742.431.781.831.431.581.591.471.88----
3.995.006.665.735.736.825.067.099.0612.788.140.000.000.000.00
3.854.696.565.675.386.544.936.908.8612.437.91----

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312010-12-312009-12-31
0.730.710.640.650.650.580.570.550.590.580.610.700.750.650.640.560.620.580.550.530.560.560.540.640.680.710.710.630.400.390.390.370.430.400.420.380.430.430.420.490.580.540.611.692.101.931.668.65------
0.330.350.360.360.380.390.410.420.440.450.440.400.420.450.490.510.560.610.640.590.620.650.680.590.590.640.670.650.560.580.590.630.620.630.620.630.630.640.650.650.580.620.630.600.680.760.97-0.76------
0.490.540.560.570.620.650.710.710.780.820.790.670.740.830.971.041.301.581.801.441.621.862.141.421.461.752.011.841.271.401.421.691.661.731.651.711.691.791.831.861.371.611.671.512.083.2134.78-0.43------
44.4245.8043.3047.5345.0046.3043.9246.4547.9249.3250.3157.0455.0752.1252.0244.6253.3249.6448.3740.9550.8049.4446.9048.6051.7249.7250.3751.5951.8347.6445.9046.5047.6547.3745.4048.2648.7250.6846.5451.0551.4351.3345.7443.6242.2142.51-270.3543.40-12.8148.3617.56---
33.3331.9929.3730.6933.0331.5829.1330.9633.6035.1737.9943.7545.1945.1941.9143.4841.7837.7634.9838.0837.2235.3030.8833.5438.4637.1537.7338.5639.4233.8831.5332.2833.6332.6531.3634.2135.5837.0133.3237.8238.1438.7733.2829.5429.9629.88-284.2428.78-29.8434.363.65---
33.3331.9929.3730.6933.0331.5829.1330.9633.6035.1737.9943.7545.1945.1941.9143.4841.7837.7634.9838.0837.2235.3030.8833.5438.4637.1537.7338.5639.4233.8831.5332.2833.6332.6531.3634.2135.5837.0133.3237.8238.1438.7733.2829.5429.9629.88-284.2428.78-29.8434.363.65---
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46.0633.2341.1145.3935.3837.9738.5736.7228.6924.0335.9543.3444.6748.3243.4347.9244.3143.3426.1840.1827.0335.6031.7029.9238.0137.5139.6017739.1032.4930.0430.8832.8631.0429.7032.7231.1535.8128.7537.4336.9434.8131.4236.1335.3332.67-266.4527.16-27.8931.673.24---
23.9019.2520.4323.9419.4919.9819.5313.2818.8817.6123.2416.8827.3028.9326.5930.6325.1522.7413.8019.6718.1116.8612.7315.9117.8116.5616.67-14.2813.6910.348.359.338.527.897.519.288.028.556.863.468.095.55-22.89-20.632.992.981.6627.00--2.96---
0.170.180.170.180.180.170.180.180.170.190.220.260.250.250.230.230.220.200.210.220.210.220.210.240.240.220.220.250.180.170.170.190.180.180.170.200.200.210.200.240.220.220.230.340.330.330.350.48------
------------------------------------------------------
2.062.172.142.172.322.141.892.181.501.662.262.582.392.452.492.522.302.092.062.492.192.252.262.612.302.201.932.252.742.892.903.042.742.883.093.202.942.763.072.973.113.213.242.762.393.012.862.42------
43.7541.3942.0141.3938.7442.0147.6541.2660.0454.0839.8834.9337.6136.7736.1035.6839.0842.9743.6536.0841.1639.9339.8634.4239.1640.9346.7539.9232.8331.1631.0029.6332.8231.2829.0828.1530.6632.6429.3630.3028.9228.0727.7532.5837.6929.9331.4937.18------
25.7219.1724.5126.4122.7124.0525.5323.7320.5719.3932.7336.3841.8449.4451.0156.7755.0957.0039.4150.1550.7255.9253.6034.2848.7459.4672.450.7837.3234.3530.2437.2337.8237.7233.4342.2642.3952.9048.8359.0543.1351.4149.0863.80265-375.34579-5.50------
25.7219.1724.5126.4122.7124.0525.5323.7320.5719.3932.7336.3841.8449.4451.0156.7755.0957.0039.4150.1550.7255.9253.6034.2848.7459.4672.450.7837.3234.3530.2437.2337.8237.7233.4342.2642.3952.9048.8359.0543.1351.4143.6446.9758.4675.59-6,945.98-5.50------
6.474.735.726.605.185.255.405.373.913.656.568.919.009.758.149.427.827.164.487.446.446.465.505.987.617.127.510.105.044.303.844.684.514.374.025.214.965.825.327.476.426.855.9510.6910.359.58-93.6612.87------
17.2412.4815.6816.8514.0514.5814.9513.8611.5610.6518.2621.7324.1027.0325.8727.7923.9922.0614.0820.5719.3419.5617.0414.1719.8521.6124.040.2716.4514.2912.5113.8214.2113.8212.6015.5915.7518.9917.2720.6418.2219.7116.3318.7018.9517.94-194.12-9.67------
5.044.624.404.394.043.843.523.513.203.063.163.743.433.042.592.431.961.601.411.781.581.381.191.831.781.481.281.432.071.881.861.581.611.551.621.591.611.531.491.472.011.741.681.881.390.930.09-------
5.153.432.283.994.132.881.915.004.903.503.096.666.744.343.285.735.303.652.265.735.083.561.876.826.644.913.535.065.864.342.907.096.684.843.029.068.205.953.9412.7810.748.457.288.147.703.04-1.900.009.057.170.000.000.000.00
5.093.372.263.854.042.811.864.694.643.343.026.566.654.273.255.675.263.632.255.384.763.291.786.546.474.863.524.935.764.292.866.906.514.743.008.868.105.883.9012.4310.488.297.197.917.572.95-1.94-8.887.06----