Adtalem Global Education Financial Ratios for Analysis 2009-2024 | ATGE

Fifteen years of historical annual and quarterly financial ratios and margins for Adtalem Global Education (ATGE).

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
0.861.111.323.712.001.621.881.251.431.741.821.401.281.971.450.98
0.320.320.360.450.180.220.160.07-------0.02
0.470.480.560.820.220.290.190.07-------0.13
55.9255.3052.2549.0847.2453.4751.9447.1647.3247.6448.8751.0253.6257.6756.8754.18
13.7011.595.5512.2812.7015.3717.4111.2214.458.229.428.5011.5323.2221.4616.07
13.7011.595.5512.2812.7015.3717.4111.2214.458.229.428.5011.5323.2221.4616.07
20.8722.6322.1421.9722.7019.5421.7615.9919.0113.0514.0916.1519.2326.0524.7019.52
10.357.72-3.738.4323.6613.7816.2610.8713.968.059.338.4011.6223.2321.5416.24
8.636.4322.517.79-9.859.393.5210.12-0.297.326.975.446.8315.2914.6211.33
0.580.520.460.290.390.450.410.520.520.940.961.061.121.171.181.02
----------------
12.4914.1216.9320.899.9512.136.548.126.6513.7214.5014.0515.5418.8416.0714.00
29.2125.8521.5617.4736.6730.0855.7744.9354.8826.5925.1725.9723.4919.3822.7226.08
10.066.98-2.414.8816.787.684.477.257.938.539.899.0012.4524.0123.7417.87
-37.34-32.1710.477.4465.3226.3019.8427.0019.2719.0721.1120.7432.0949.5059.5378.44
5.023.62-1.192.069.874.772.905.235.986.627.596.779.2218.1217.2011.55
6.824.73-1.542.6813.785.973.756.747.938.539.899.0012.4524.0123.7417.49
36.3334.4433.0126.4225.2625.1625.3726.7625.2924.9124.1022.2021.0820.3416.6013.01
7.344.210.223.721.993.453.843.613.603.154.094.054.105.785.423.44
6.133.64-0.422.951.382.483.092.942.801.792.872.322.253.903.612.42

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
0.940.860.760.950.951.111.221.141.161.321.921.231.123.713.922.001.872.001.581.281.111.621.752.071.611.881.421.581.201.251.071.310.951.431.371.231.551.741.672.161.631.821.571.551.241.401.341.341.151.281.201.241.181.971.481.481.381.451.181.101.010.980.94
0.320.320.330.340.340.320.320.310.330.360.450.550.560.450.450.180.180.180.260.240.200.220.170.170.170.160.070.100.080.070.070.120.08----------------------------0.020.02
0.470.470.490.510.500.480.460.460.490.560.831.251.270.820.820.220.220.220.350.320.250.290.210.200.200.190.080.110.080.070.070.140.08-------------------------0.040.040.110.130.15
55.4455.4757.5156.2454.2855.1055.0756.0954.9454.8654.4251.4047.4034.8550.0648.4557.61-12.1456.2752.1949.7153.8453.5453.5152.9315848.6248.9240.9271.3245.2346.3644.2841.7346.6847.1744.4847.2248.3148.2746.6947.2151.0950.5446.3948.8152.9952.0250.1151.3954.8553.9754.1057.4058.6158.3156.2657.5057.5157.7354.4253.3754.53
16.8316.7214.9614.907.6410.8516.1012.556.6711.519.046.66-7.635.2115.6212.4013.68-14.1220.0715.1410.1120.7417.6223.10-1.3650.8716.9319.4410.2065.5413.22-0.447.36-49.1412.83-12.361.877.1510.1010.105.338.8414.0211.922.28-5.2815.0113.4210.3010.2217.652.6215.3922.2824.3924.5821.4419.8524.1923.0318.4113.5518.32
16.8316.7214.9614.907.6410.8516.1012.556.6711.519.046.66-7.635.2115.6212.4013.68-14.1220.0715.1410.1120.7417.6223.10-1.3650.8716.9319.4410.2065.5413.22-0.447.36-49.1412.83-12.361.877.1510.1010.105.338.8414.0211.922.28-5.2815.0113.4210.3010.2217.652.6215.3922.2824.3924.5821.4419.8524.1923.0318.4113.5518.32
---------------------------------------------------------------
13.9913.5811.6411.574.007.6613.267.861.875.98-1.09-0.09-23.72-9.0812.5111.7512.8819.7359.073.338.2919.1716.4621.15-3.0333.3816.4419.0810.2663.8313.12-0.837.12-49.1112.54-12.711.376.799.7910.095.338.7913.9211.772.19-5.3214.9513.3210.1110.0817.553.2815.3222.2624.4024.6121.4819.8924.2423.1118.6213.7218.64
11.0612.068.9210.142.896.1012.436.790.170.9595.464.81-20.071.2810.719.957.43-345.2955.562.085.6418.7314.656.81-4.0212912.69-26.334.3646.9011.984.325.593.4210.95-11.091.246.329.628.754.427.7311.199.80-1.58-6.7311.2810.046.671.6612.411.6911.0814.3316.5116.0914.1214.1316.0915.3212.699.3512.99
0.150.150.150.150.130.130.130.130.120.120.100.100.080.050.080.100.120.030.110.110.100.120.120.120.100.020.140.140.120.040.140.150.19-0.140.230.240.210.230.230.250.220.240.240.260.220.260.250.260.240.260.260.270.260.280.270.300.290.310.270.280.260.280.25
---------------------------------------------------------------
2.433.232.932.942.503.553.263.653.174.383.794.002.063.873.963.272.690.852.752.852.193.162.893.102.190.332.002.301.930.612.492.612.44-1.802.793.752.373.403.275.432.713.663.084.172.463.432.933.522.383.662.063.423.434.572.513.613.234.253.243.502.753.792.18
36.9827.8530.7330.5936.0525.3627.6224.6928.4220.5623.7322.4943.7123.2822.7227.5033.4010632.7331.5841.0828.4631.1629.0641.1027045.1139.2146.6314636.1734.4836.87-50.0932.2724.0337.9126.4727.4816.5833.1724.6129.2421.5836.6226.2130.6825.5537.8224.5943.7526.2826.2619.6735.8224.9427.8421.1827.8225.7232.7723.7241.33
3.333.702.832.750.871.623.221.580.37-0.150.303.03-6.10-0.941.861.822.063.6511.850.101.312.532.472.93-0.343.362.75-3.391.543.132.200.451.577.503.34-3.440.351.912.662.751.332.483.763.460.59-1.364.053.732.492.644.830.694.105.746.947.005.996.107.186.955.564.005.68
-13.40-13.72-8.82-9.82-3.11-7.45-17.63-8.70-1.800.64-1.16-6.5512.02-1.432.822.767.6414.1948.210.415.058.656.437.43-0.8514.8813.09-17.146.0411.659.212.077.8218.228.38-8.920.764.276.135.732.775.298.248.001.42-3.149.949.716.726.8012.581.7711.7511.8314.7715.8714.2815.2919.4321.8520.5017.5523.41
1.641.851.381.400.430.841.690.850.18-0.070.131.07-2.03-0.390.791.051.182.146.280.050.711.571.621.97-0.212.171.87-2.331.072.261.570.321.085.662.48-2.670.261.481.942.180.961.902.742.610.40-1.022.912.721.681.963.190.482.854.334.494.844.024.424.304.363.352.583.20
2.272.511.901.830.581.092.201.090.24-0.090.161.35-2.69-0.511.021.501.702.998.810.081.051.962.052.44-0.282.822.55-3.051.432.912.050.401.457.503.34-3.440.351.912.662.751.332.483.763.460.59-1.364.053.732.492.644.830.694.105.746.947.005.996.107.186.955.563.915.55
36.8536.3334.9834.6534.1234.4434.1533.5133.2633.0132.7725.8625.4326.4226.2825.9525.5525.2624.9924.4524.2925.1624.6624.5624.3625.3725.8125.2127.0926.7626.4225.5725.5325.2924.7323.1824.2824.9124.5724.3724.1124.1023.5322.5021.9822.2023.0122.0621.4421.0821.1820.3420.6420.3419.4118.2817.4216.6015.8314.7013.8213.0112.53
2.287.346.442.272.254.213.260.901.970.221.050.020.823.722.821.211.511.991.98-0.250.853.452.190.381.273.842.960.801.423.612.640.651.553.603.411.181.803.153.211.412.164.094.061.752.194.054.392.792.524.105.283.222.695.786.913.872.745.426.653.702.463.443.96
2.026.135.131.532.013.642.850.691.85-0.420.60-0.270.692.952.260.831.241.381.50-0.510.772.481.42-0.151.063.092.140.301.242.942.180.351.372.802.620.551.451.792.220.751.832.873.331.231.852.323.182.062.132.253.982.302.203.905.613.112.413.615.252.852.092.423.27