DMC Global Financial Ratios for Analysis 2009-2024 | BOOM

Fifteen years of historical annual and quarterly financial ratios and margins for DMC Global (BOOM).

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
2.582.242.263.042.022.052.192.392.632.933.304.103.111.892.09
0.200.240.270.040.060.220.150.120.180.130.130.190.150.100.21
0.280.350.410.060.080.310.170.140.230.150.170.240.190.200.38
29.4828.3522.8724.8136.4533.9130.8024.3921.3430.3228.7729.9126.5423.8826.15
8.514.59-0.92-0.4314.7011.46-6.36-3.33-14.193.295.438.308.724.399.85
8.514.59-0.92-0.4314.7011.46-6.36-3.33-14.193.295.438.308.724.399.85
13.6612.564.054.4917.2214.488.443.56-0.719.8311.5614.1914.3911.6916.16
6.943.55-0.98-0.8614.2610.60-7.93-3.60-15.632.884.857.868.054.137.87
3.651.87-0.08-0.628.569.34-9.78-4.10-14.361.273.205.595.983.345.10
0.810.740.300.821.431.361.110.980.920.920.840.820.980.770.73
3.042.991.623.284.704.223.734.163.703.523.492.803.553.283.75
6.776.933.627.316.535.473.904.814.665.715.355.215.745.615.76
53.9052.6910149.9655.8766.7693.6575.8678.2863.9768.2570.0363.5565.0363.33
8.473.63-0.28-0.7219.7822.69-17.82-5.79-20.241.243.516.058.523.896.51
47.4165.882.78-0.7320.4724.24-20.29-8.08-29.662.026.1611.8218.7111.0821.58
3.931.57-0.12-0.5012.2712.68-10.89-4.00-13.160.882.524.185.832.613.82
6.802.78-0.20-0.6918.5717.66-15.23-5.08-16.501.083.054.917.203.515.16
20.7519.4918.6312.8011.759.017.167.758.3311.0712.5612.0210.9310.2110.27
3.382.32-0.732.054.411.890.471.290.121.702.361.550.741.302.33
2.581.36-1.161.122.64-1.190.040.88-0.270.141.170.410.151.022.02

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
2.372.532.542.582.452.202.012.242.262.212.112.264.895.022.883.042.332.392.192.022.382.252.182.052.152.222.302.192.762.882.742.392.432.862.492.633.903.263.392.934.414.363.543.303.973.234.474.104.113.513.253.112.041.831.901.892.031.891.892.092.762.602.31
0.220.160.170.200.210.210.230.240.250.260.270.27---0.040.050.050.060.060.130.170.210.220.260.230.210.150.170.170.160.120.110.160.160.180.210.190.190.130.130.150.140.130.130.150.190.190.220.190.190.150.090.090.090.100.150.160.160.210.260.270.29
0.290.200.210.280.290.310.330.350.380.390.410.41---0.060.070.070.080.080.170.220.290.310.350.300.260.170.210.200.200.140.120.190.190.230.260.230.230.150.150.180.160.170.150.180.240.240.280.240.240.190.210.220.190.200.280.290.270.380.430.450.50
19.7527.1125.3826.0630.5532.8028.3225.7629.4331.4226.6118.0024.8025.9323.2021.3424.5915.2933.2634.9936.1937.9236.3634.8133.8333.0933.8032.7532.9029.7126.6124.7223.1423.9825.624.8926.0428.1326.2230.2429.0730.6331.4626.8630.7729.4927.4932.0130.6128.6328.6327.3527.0228.5722.6121.9926.2824.2023.0123.1825.2324.2030.80
-97.716.834.015.3210.2814.313.926.047.685.99-2.82-7.651.694.08-1.28-1.432.65-18.498.630.5812.8122.2220.4214.4610.0412.647.890.94-23.874.20-5.92-4.79-6.68-1.99-0.21-46.47-2.38-0.14-7.90-6.936.567.286.591.829.9210.39-2.287.0110.277.508.249.5110.3210.893.283.387.135.450.815.647.218.0416.67
-97.716.834.015.3210.2814.313.926.047.685.99-2.82-7.651.694.08-1.28-1.432.65-18.498.630.5812.8122.2220.4214.4610.0412.647.890.94-23.874.20-5.92-4.79-6.68-1.99-0.21-46.47-2.38-0.14-7.90-6.936.567.286.591.829.9210.39-2.287.0110.277.508.249.5110.3210.893.283.387.135.450.815.647.218.0416.67
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-99.445.312.373.169.0712.792.524.506.735.26-3.71-7.971.384.12-0.81-1.932.07-19.058.46-0.6312.5922.1620.0313.719.0912.076.64-0.63-25.411.49-6.13-4.27-7.84-2.21-0.53-49.85-6.73-0.64-5.59-8.437.217.585.441.129.209.35-2.015.5410.237.947.439.809.719.741.943.454.489.27-1.834.493.596.6814.65
-66.472.750.152.315.167.20-0.126.043.852.39-6.49-3.840.602.630.78-1.621.82-13.075.65-6.126.9115.5415.1516.915.597.875.82-3.59-26.960.40-7.75-5.45-8.58-1.85-1.02-38.33-10.71-2.95-5.82-6.684.414.373.18-1.666.815.950.464.647.325.454.846.667.787.141.612.923.157.78-1.362.453.103.929.67
0.220.200.190.200.190.210.200.200.200.190.160.080.150.150.180.200.210.170.270.310.360.390.380.380.380.380.340.310.320.270.240.250.220.230.220.230.190.200.190.240.230.210.200.190.230.250.200.190.210.220.220.250.250.230.210.220.190.190.150.190.150.170.22
0.740.710.720.770.640.660.740.830.810.750.710.470.810.780.740.850.730.610.801.051.081.151.251.151.031.010.961.031.111.070.921.050.850.930.821.120.700.740.700.900.880.780.740.810.870.900.720.610.700.710.770.910.850.790.860.970.830.770.661.010.800.880.94
1.371.451.591.641.631.681.691.851.851.781.741.001.711.521.561.821.611.281.441.421.401.441.371.511.341.291.181.101.151.221.161.221.411.411.231.171.151.261.361.461.681.321.271.211.631.391.411.181.331.381.381.491.581.561.591.631.511.661.561.491.411.201.28
65.5462.1756.4754.9255.1753.5153.3848.5448.5950.4751.7690.1152.7259.1857.5849.4356.0470.1762.4163.4164.4662.3065.8459.5067.2069.8776.4881.7178.4173.6777.7073.8463.9463.6872.9676.9877.9971.4565.9761.4553.6467.9470.8274.5855.0764.5764.0276.1867.6965.2065.2760.3256.9857.8256.6855.3559.6954.3657.5760.4163.7574.8470.39
-62.141.510.570.872.844.400.560.902.261.82-1.22-0.990.120.500.20-0.470.59-3.322.39-3.074.1410.5510.1911.374.115.583.52-1.85-13.230.16-2.71-1.95-2.64-0.63-0.34-13.55-3.06-0.92-1.67-2.771.381.191.05-0.571.962.120.150.612.411.811.572.462.902.580.520.970.962.46-0.320.820.831.204.14
-206.657.022.964.8718.4435.067.5616.39840-66.0813.679.830.120.500.20-0.480.61-3.412.47-3.184.3011.0410.7612.154.476.143.95-2.11-15.230.22-3.77-2.72-3.74-0.90-0.49-19.85-4.89-1.44-2.65-4.502.211.971.80-0.993.503.890.291.184.903.893.565.396.846.611.422.752.957.77-0.972.702.894.3716.02
-22.710.720.270.401.291.930.240.390.950.75-0.50-0.410.090.400.14-0.330.39-2.241.55-1.912.516.055.706.352.143.021.98-1.13-8.530.11-1.83-1.35-1.88-0.44-0.22-8.81-2.02-0.60-1.13-1.961.010.870.76-0.411.461.490.110.421.591.221.041.681.951.670.350.650.611.48-0.190.480.480.682.19
-48.571.260.470.702.263.460.430.691.701.35-0.89-0.720.120.500.20-0.450.56-3.142.26-2.893.608.798.028.853.054.282.79-1.58-10.970.13-2.27-1.71-2.35-0.53-0.28-11.04-2.43-0.74-1.36-2.421.191.010.91-0.491.711.800.120.491.881.461.272.082.642.350.470.870.822.06-0.270.650.610.882.95
12.8020.7620.5120.7520.5020.1519.3919.4918.5718.1918.0318.6318.4218.4813.8012.8011.5011.5311.7711.7511.4111.169.949.018.017.707.527.167.207.927.567.758.208.348.508.339.7410.1310.0611.0712.0812.6412.3612.5612.4411.8811.6312.0211.5511.0111.3310.9311.0111.2110.7310.2110.299.359.7610.2710.269.849.23
1.770.800.683.382.180.950.362.321.260.13-0.24-0.73-0.10-0.340.142.051.440.750.334.412.361.560.481.890.45-0.11-0.210.470.04-0.22-0.361.291.260.600.270.12-0.46-0.34-0.281.701.160.050.232.362.251.140.471.550.940.610.510.740.170.060.101.300.790.761.092.331.850.980.26
1.200.530.532.581.800.690.251.360.67-0.20-0.32-1.16-0.39-0.470.071.120.790.25-0.012.640.940.560.04-1.19-1.37-1.22-0.570.04-0.19-0.37-0.480.880.970.510.24-0.27-0.81-0.52-0.340.140.69-0.250.091.171.260.420.140.410.150.190.310.15-0.16-0.120.021.020.610.651.032.021.600.800.16