Advanced Info Service Public Financial Ratios for Analysis 2009-2023 | AVIFY

Fifteen years of historical annual and quarterly financial ratios and margins for Advanced Info Service Public (AVIFY).

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
0.310.360.390.450.450.480.500.460.660.910.771.051.120.732.02
-0.43---0.610.670.670.520.420.250.210.300.330.34
0.460.980.170.25-1.702.182.321.350.790.540.470.560.880.52
33.6131.9833.0235.8938.1439.0941.5145.4545.3844.0543.1740.6939.7238.2635.27
21.8120.1421.5622.0923.0823.9225.8826.0232.4431.5232.7532.2430.9229.4425.38
21.8120.1421.5622.0923.0823.9225.8826.0232.4431.5232.7532.2430.9229.4425.38
49.8148.6650.9952.0843.6643.8645.0040.2745.6444.1934.8843.2844.9046.8545.01
19.0617.3518.1418.8120.6820.9822.7823.5731.6630.8632.3832.2229.0326.9923.63
15.4014.0214.8515.8717.2417.4719.0720.1625.2224.1125.3724.6517.6718.5716.39
0.420.550.510.490.620.580.560.550.851.181.271.401.461.140.82
30.2332.8657.72-23.1827.0623.3526.9016.7733.1628.3258.8870.1273.70105
8.8310.3510.959.729.728.779.1310.789.479.159.4517.5517.9719.8417.75
41.3235.2833.3337.5437.5641.6039.9633.8638.5239.8838.6420.7920.3218.4020.57
32.0830.3132.9136.2544.9551.5359.6571.8680.7476.8973.8680.12-53.7652.8525.22
-45.77-48.48-42.27-61.61-74.22-47.88-48.80-39.96-600.04157113130-57.1059.0327.64
6.407.727.567.8410.7710.2310.5911.1321.5428.5230.2634.55-24.4822.4914.49
32.0817.3732.9136.2544.9519.8519.9823.6138.7444.3055.3562.93-37.8835.3816.70
0.880.830.860.810.750.600.500.41-------
0.850.780.910.920.830.720.650.590.610.650.560.560.540.490.40
0.490.480.640.620.580.520.240.130.290.320.310.500.500.460.36

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
0.310.330.310.450.480.380.360.340.370.400.390.360.450.400.450.410.450.440.450.410.560.580.480.420.480.460.500.420.470.430.460.490.630.500.660.600.810.760.910.861.130.630.770.731.070.931.051.011.261.041.120.841.020.830.731.381.662.332.021.661.611.73
0.400.44---0.440.430.450.450.49-----0.530.48--0.580.57-0.610.65-0.680.670.690.670.710.670.690.620.580.520.470.410.460.420.490.440.280.250.260.220.250.210.240.240.310.300.300.330.360.330.380.390.320.340.360.340.32
1.091.200.460.190.171.010.981.221.061.130.170.010.160.240.251.170.93--1.391.330.201.702.230.052.102.182.592.312.532.322.961.961.681.351.270.760.950.791.120.840.470.540.570.420.610.470.560.520.610.560.930.871.010.880.690.650.480.520.560.560.53
37.0834.5634.4334.2133.6632.1331.3531.4432.8532.2530.1034.7834.6632.9433.2336.4136.6537.5535.6040.4539.0237.6436.1438.2040.0942.0640.4042.7742.3340.5739.2844.0152.2447.0648.3444.8546.0642.2443.0546.2043.6343.2747.0744.6444.1640.9239.2942.1742.2440.7739.9941.0839.1339.7940.5836.1139.2337.5234.9134.3834.1234.74
24.4423.7120.0324.3822.7520.3620.1119.3720.7920.2718.8722.6323.8721.2120.4422.2622.4923.3419.3726.4923.2023.5720.7822.3425.5527.1025.5025.7825.4026.9120.1024.5534.7125.5035.1531.2233.2830.7232.0330.8730.2333.2730.8432.7028.9132.8628.4433.7331.6233.1130.4829.1430.6831.4726.4731.7628.8130.0027.0026.1226.7627.75
24.4423.7120.0324.3822.7520.3620.1119.3720.7920.2718.8722.6323.8721.2120.4422.2622.4923.3419.3726.4923.2023.5720.7822.3425.5527.1025.5025.7825.4026.9120.1024.5534.7125.5035.1531.2233.2830.7232.0330.8730.2333.2730.8432.7028.9132.8628.4433.7331.6233.1130.4829.1430.6831.4726.4731.7628.8130.0027.0026.1226.7627.75
--------------------------------------------------------------
20.5819.6016.9821.7819.8917.8818.7116.1017.1717.3516.5818.3520.1417.7118.0418.5319.9118.8917.0923.7721.1121.0218.1619.3522.7923.7122.4222.5222.1524.0917.0721.3433.0423.6933.3430.4232.3930.3029.8332.3629.0032.2533.0832.1333.7533.2029.5933.9533.5333.3428.8729.9428.6329.5329.4824.7727.1526.7520.9323.7523.4924.48
16.7115.8613.6617.6816.0414.4715.1313.0513.9313.9413.5715.0416.4714.4915.5715.6116.5715.7714.4319.6717.5917.5015.2216.1518.9619.6418.7119.3618.4619.8015.6517.6026.3021.6727.1223.4325.8324.3922.5425.2323.1125.8324.6124.9225.5426.4722.1526.0625.2625.3710.9719.9019.6620.1319.2517.7018.5218.5515.8016.7616.6517.37
0.120.120.110.140.140.140.140.130.130.130.130.120.120.130.130.120.110.110.170.160.150.150.150.140.150.140.150.140.140.140.150.140.130.190.210.280.290.290.320.290.280.320.300.330.310.320.380.390.350.360.380.320.300.290.310.260.230.200.220.200.190.19
9.419.037.998.9710.087.948.406.337.498.0115.9314.598.767.91-9.948.399.776.479.236.397.467.367.285.725.086.408.775.185.208.084.802.433.183.776.004.376.388.9610.747.678.846.5411.7913.3413.4716.5524.9517.5414.0917.9527.8216.2914.8621.1923.8616.0422.1226.0822.0318.1713.46
2.392.612.362.372.3526.922.622.522.562.742.902.532.452.692.642.182.242.392.612.272.412.402.282.242.252.242.462.492.632.752.912.602.412.322.322.322.402.672.483.473.723.782.213.814.054.754.734.539.214.934.624.484.854.975.455.785.064.844.675.234.675.24
37.5934.5438.1038.0538.333.3434.3435.7935.1832.8131.0735.5136.7733.5234.0541.3340.2037.6034.5339.5837.3137.4739.5440.1539.9740.1236.6636.0834.2632.7930.9434.5637.3338.8238.8738.7737.5233.6936.2925.9424.2123.7840.6423.5922.2218.9419.0119.899.7818.2719.4820.0718.5518.1016.5215.5717.7718.6019.2617.2219.2817.19
9.129.907.619.768.248.458.297.717.658.337.958.528.959.279.679.499.7610.4310.0914.1712.0213.3411.6313.3814.3116.7515.7417.8316.0920.4315.0618.0720.4721.6521.2222.4020.1425.3419.4623.2618.2324.9417.9522.4918.2525.7019.4224.5819.2224.829.0416.7214.5117.4114.199.668.516.565.946.265.925.97
-15.30-12.84-10.86-16.84-15.19-11.93-13.25-9.52-10.37-9.34-10.22-8.82-9.87-9.95-16.43-12.44-13.51-11.06-16.66-17.14-15.21-12.44-10.81-9.58-14.48-12.33-12.88-10.37-10.16-9.61-8.38-7.69-12.59-47.02-157.7436.7031.8454.6839.7280.6851.2419427.3939.5227.6445.0631.4426.0720.1826.469.6018.1415.7619.4915.8410.639.387.106.516.926.506.52
1.961.861.522.522.202.052.111.751.801.771.831.791.901.832.091.841.901.802.423.102.702.552.312.332.842.812.792.672.562.762.332.413.544.175.666.547.537.137.227.246.538.247.358.218.038.548.3810.238.899.044.116.345.915.796.044.674.293.793.413.423.233.36
5.475.597.619.768.244.714.754.234.224.267.958.528.959.299.674.495.0610.4310.096.005.1613.344.484.7014.315.445.275.615.335.994.955.597.819.0710.1811.9111.9113.6011.2111.8210.2317.8413.4516.5514.3019.3615.2618.6414.6817.036.3711.719.7911.099.506.035.204.463.934.043.924.04
0.860.800.880.800.850.790.830.720.810.770.860.770.850.800.810.740.750.700.750.680.710.600.600.520.590.510.500.420.440.360.410.350.450.35----------------------------
0.490.280.850.600.370.200.780.530.350.190.910.660.440.230.920.640.450.240.830.610.380.220.720.500.330.190.650.470.300.130.590.400.260.160.610.430.300.170.650.460.310.170.560.470.330.180.560.450.320.170.000.430.290.160.490.390.260.140.400.330.220.12
0.380.220.490.370.220.130.480.320.210.110.640.480.330.170.620.440.310.180.580.440.280.190.520.340.220.120.240.130.070.020.130.040.030.040.290.190.140.100.320.200.160.090.310.320.240.130.500.420.300.16-0.410.280.150.460.370.240.130.360.300.200.11