ASGN Financial Ratios for Analysis 2009-2024 | ASGN

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

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
2.472.222.902.392.322.233.002.692.582.222.082.312.322.122.95
0.350.360.360.390.430.480.370.420.490.380.380.440.250.220.26
0.550.560.550.650.750.930.580.740.960.650.620.800.350.300.34
28.7629.9028.4927.0528.4430.1132.3732.5832.8732.3229.8731.0934.4634.1232.73
8.188.948.758.038.097.658.567.777.377.997.657.257.490.743.66
8.188.948.758.038.097.658.567.777.377.997.657.257.490.743.66
10.4310.9310.9910.5910.7610.4510.7910.339.8610.219.629.439.216.306.70
6.697.947.826.905.986.017.516.455.907.255.765.796.92-1.132.11
4.935.8510.225.725.114.646.013.984.734.485.553.764.71-2.261.13
1.261.281.141.071.161.261.451.391.171.381.211.021.261.281.21
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6.005.375.665.815.275.546.136.315.826.225.814.635.497.018.30
60.8168.0164.4762.8369.3265.9059.5657.8662.7158.6562.8378.8866.4952.0943.96
11.5914.0412.4311.1910.8813.3715.9311.199.1011.587.996.988.46-4.512.08
-43.87-47.64-120.73-58.52-25.49-21.71-61.81-25.42-14.06-57.30-23.16-16.37-164.32183-280.85
6.197.446.625.425.095.888.725.554.045.874.063.345.08-2.901.37
7.498.998.006.786.226.9210.086.444.647.144.973.926.35-3.521.55
40.5238.4136.0130.0026.0222.5219.0116.4814.8012.3511.8710.066.676.036.25
9.386.003.627.975.875.413.693.712.341.772.030.850.620.741.16
8.565.272.977.365.254.873.243.201.871.411.720.550.400.561.03

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
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.252.342.512.472.242.332.402.222.282.772.992.902.412.752.502.392.402.392.192.322.112.142.202.232.222.283.023.002.572.592.642.692.502.492.462.582.372.442.652.222.162.192.212.082.392.382.292.312.202.222.212.321.911.901.942.122.512.702.782.952.542.882.69
0.370.360.360.350.350.350.350.360.360.360.360.360.360.380.390.390.400.410.430.430.430.440.470.480.510.540.350.370.400.380.410.420.430.450.470.490.510.530.320.380.370.340.360.380.370.380.400.440.450.480.230.250.260.240.250.220.250.250.260.260.270.310.33
0.580.570.560.550.540.540.540.560.570.560.550.550.560.600.630.650.680.710.760.750.740.800.900.931.021.160.550.580.660.630.700.740.760.820.890.961.031.140.500.650.630.550.600.620.590.640.680.800.850.950.310.350.370.330.350.300.330.340.340.340.370.450.50
29.1429.1028.2428.3928.8728.8528.9229.5629.9630.1329.9429.7728.7528.3426.8726.1226.1327.3528.3625.3429.0629.3328.5729.2629.8030.0431.7732.5032.7332.5931.6331.9232.9133.2332.2633.4133.4632.6731.6032.3232.7432.6731.5030.5830.1829.7529.0529.5730.8831.8033.6538.9733.5833.9633.3434.8635.3933.7932.0033.2433.4232.8031.66
7.657.776.767.768.838.667.467.869.059.649.229.069.329.027.438.738.138.317.169.549.077.546.798.028.197.486.678.959.139.106.967.398.808.346.497.429.006.745.838.128.758.466.528.358.477.796.037.678.425.825.989.628.467.514.94-7.056.413.191.033.644.413.353.30
7.657.776.767.768.838.667.467.869.059.649.229.069.329.027.438.738.138.317.169.549.077.546.798.028.197.486.678.959.139.106.967.398.808.346.497.429.006.745.838.128.758.466.528.358.477.796.037.678.425.825.989.628.467.514.94-7.056.413.191.033.644.413.353.30
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6.106.245.086.217.177.266.106.618.048.768.378.188.438.056.427.537.107.146.013.627.806.105.226.496.585.155.718.078.068.175.606.257.497.034.945.857.334.995.127.398.057.755.707.877.693.124.696.176.814.035.538.738.016.974.39-9.915.041.68-0.561.982.631.372.42
4.614.563.634.685.325.314.394.836.116.356.128.0719.746.595.377.155.785.874.427.605.724.433.784.945.423.824.259.925.235.073.573.874.734.282.993.354.362.949.104.644.974.793.4210.304.781.806.494.214.142.843.439.374.784.082.44-11.312.720.90-0.311.041.480.561.41
0.300.300.300.300.310.320.320.320.330.320.310.300.300.280.270.240.280.270.330.180.350.350.330.350.340.330.370.380.370.370.360.350.360.340.330.330.320.270.350.350.350.340.320.250.380.370.350.300.340.240.370.200.400.370.340.360.320.300.280.290.280.280.30
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1.501.431.451.451.391.361.371.351.361.351.411.491.541.561.401.291.341.361.450.801.541.561.491.511.581.571.551.581.541.571.591.601.601.581.541.631.601.471.491.591.491.471.471.201.581.531.471.381.511.111.540.851.681.781.731.941.922.001.911.991.991.991.89
59.9262.7562.2362.1364.8465.9765.6066.7865.9666.4664.0060.4858.4857.6764.1969.9867.3266.2262.0611358.3957.5360.2859.4256.8857.1758.2356.7958.3857.4856.6556.0856.3256.7958.4655.2956.4261.3760.2256.5660.3161.3161.4074.9957.0658.8261.0765.3959.5380.7558.5810653.4850.6352.1046.4446.9245.0147.0745.1945.3345.2747.67
2.682.612.052.663.113.122.572.923.763.913.623.513.613.332.602.753.062.993.131.034.323.362.843.894.353.152.836.803.773.582.532.773.463.092.142.443.281.981.933.083.222.872.062.223.231.261.822.142.841.241.971.653.252.521.41-6.241.350.41-0.130.460.640.260.75
-8.28-8.53-7.39-10.06-11.87-12.00-9.49-9.92-15.38-44.13-38.76-34.06-27.85-24.78-9.57-14.37-8.29-7.70-6.90-2.42-9.95-6.75-4.90-6.32-6.19-3.86-13.90-26.38-10.57-10.73-6.27-6.29-7.41-6.02-3.67-3.77-4.55-2.41-16.13-15.22-10.32-11.85-6.91-6.44-13.75-4.15-5.26-5.02-5.72-2.13-109.48-32.04-34.70-42.38-14.15254-48.32-14.4524.90-61.75-35.64-6.50-14.31
1.381.371.091.421.661.691.401.551.972.061.941.871.831.661.281.331.451.421.450.482.031.541.241.711.841.261.573.721.931.881.281.371.691.460.981.081.390.801.071.561.641.541.081.131.740.670.931.021.330.561.200.991.911.530.84-4.020.870.27-0.090.300.420.160.43
1.691.661.311.722.022.031.671.872.392.512.332.262.312.081.601.661.831.751.780.592.481.871.492.022.151.461.834.302.272.211.491.591.961.701.131.241.610.921.311.902.021.881.311.382.050.781.091.201.550.641.521.242.411.921.06-4.871.020.31-0.100.340.470.180.50
40.1440.0940.2940.5240.1839.7239.1038.4137.7836.8336.4436.0135.0732.3330.9430.0028.8727.7526.7126.0225.2724.3123.2422.5221.5420.4319.7119.0117.7917.5516.7916.4816.2015.7215.2114.8014.3713.7813.0512.3512.2912.5912.1611.8711.2010.7210.5610.069.849.446.816.676.476.296.096.036.396.256.226.256.256.146.14
6.663.561.569.387.043.921.626.004.592.801.073.625.173.802.237.976.374.721.205.874.342.630.835.414.222.481.043.692.601.560.823.712.661.860.712.341.641.000.381.771.260.45-0.082.031.350.560.070.850.28-0.190.180.620.400.340.150.740.550.390.181.161.110.860.50
6.133.211.338.566.363.461.385.274.052.440.892.974.693.472.067.365.844.290.925.253.912.330.694.873.802.210.923.242.261.320.703.202.281.600.711.871.300.740.231.410.990.28-0.151.721.130.420.010.550.07-0.350.130.400.240.220.080.560.440.310.141.031.010.790.46