Box Financial Ratios for Analysis 2009-2024 | BOX

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

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
1.241.131.271.430.790.931.011.081.282.451.36-0.380.380.320.40
-6.16-2.39-13.300.700.850.730.820.450.260.130.36-0.820.830.780.74
-0.86-0.71-1.032.707.963.605.731.010.380.160.56-4.664.743.512.85
74.8974.5171.4770.8469.0471.4773.2871.8771.2378.1679.0975.7197.0296.4795.5393.60
4.893.72-3.16-4.88-20.03-22.06-30.43-37.80-66.40-77.00-127.85-185.6057.9955.6153.8651.49
4.893.72-3.16-4.88-20.03-22.06-30.43-37.80-66.40-77.00-127.85-185.6057.9955.6153.8651.49
15.0515.7811.039.59-7.77-11.60-18.26-23.14-47.83-58.01-102.59-159.0057.9955.6153.8651.49
6.033.47-4.28-5.48-20.53-21.90-30.47-37.85-66.82-77.99-137.68-191.3423.0922.8622.16-10.40
9.550.86-6.16-5.64-20.73-22.13-30.62-38.08-67.05-84.08-136.00-191.8323.3423.2721.58-10.58
0.840.820.630.570.730.940.910.810.610.440.53-0.120.110.130.13
----------------
3.693.753.413.383.323.473.123.323.044.002.91-4.834.085.054.76
99.0197.4410710811010511711012091.36125-75.6289.5372.2576.67
-29.93-5.1110.49-28.75-645.65-428.63-1,035.28-203.11-147.17-62.7450.69-82.30120246110
-25.41-4.488.83-32.82-3,990.76-1,062.8611,487-262.17-169.54-67.14-365.97-18.1518.0015.65-6.40
10.402.22-2.98-3.21-15.04-20.70-27.99-30.75-40.79-34.15-71.60-2.692.592.70-1.37
-214.20-17.34150-8.53-99.02-116.04-189.10-111.26-109.57-54.38-177.98-3.213.133.47-1.66
-2.99-3.63-2.720.950.150.220.110.571.112.244.35-----
2.151.981.511.260.300.390.26-0.02-0.55-5.36-8.09-10.640.000.000.000.00
2.021.871.441.160.210.270.18-0.14-1.15-7.79-10.25-13.18----

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
2024-07-312024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-01-31
1.251.331.241.201.171.181.131.101.031.171.271.581.781.431.430.900.880.840.790.760.800.830.930.900.951.001.011.001.021.071.081.151.251.331.281.471.812.232.45-----
-5.50-13.99-6.16-2.18-2.21-2.60-2.39-1.86-1.75-3.71-13.303.221.610.770.700.580.710.790.850.860.820.750.730.740.670.600.820.720.610.520.450.380.330.290.260.210.180.150.13-----
-0.85-0.93-0.86-0.69-0.69-0.72-0.71-0.70-0.70-0.87-1.03-1.61-2.953.712.701.953.355.037.968.286.224.113.603.832.651.945.733.221.991.341.010.740.580.460.380.280.230.190.16-----
79.4477.9976.1473.5374.3775.5376.2174.2073.6473.9172.2871.8571.6669.8970.5471.0171.2270.5869.1068.2268.7870.1371.1771.3271.2672.2074.1973.3473.3472.0873.1173.6371.1669.1069.7869.9671.9073.8676.5578.0678.9379.64--
7.516.808.054.353.783.317.685.351.280.26-0.07-4.95-2.85-5.07-1.65-1.33-3.91-13.21-15.57-22.15-21.02-21.71-13.25-25.31-25.11-25.52-23.77-32.91-31.72-34.11-33.11-36.72-39.62-42.81-58.32-69.97-67.77-71.06-73.19-78.45-74.46-83.35--
7.516.808.054.353.783.317.685.351.280.26-0.07-4.95-2.85-5.07-1.65-1.33-3.91-13.21-15.57-22.15-21.02-21.71-13.25-25.31-25.11-25.52-23.77-32.91-31.72-34.11-33.11-36.72-39.62-42.81-58.32-69.97-67.77-71.06-73.19-78.45-74.46-83.35--
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9.258.269.735.045.044.239.174.781.01-1.48-0.74-5.99-3.75-7.05-2.33-2.52-3.81-13.81-16.38-22.93-20.82-22.29-11.74-25.54-25.56-25.82-23.76-32.92-31.69-34.33-33.33-36.96-39.62-42.51-58.96-69.80-68.12-71.96-74.56-79.52-74.44-84.82--
5.314.3531.992.162.201.456.151.99-1.32-3.74-3.71-8.11-5.82-7.20-2.49-2.70-3.98-13.92-16.55-23.08-21.00-22.60-12.03-25.78-25.69-26.07-23.90-33.20-31.95-34.20-33.55-37.19-39.81-42.79-59.27-70.08-68.31-72.05-74.61-89.69-76.53-85.05--
0.240.230.210.250.240.230.210.240.230.200.170.160.140.150.150.210.200.190.190.210.210.200.250.290.270.270.250.280.260.250.220.230.220.210.170.160.150.140.13-----
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1.521.850.931.571.581.900.971.421.482.040.911.451.601.800.871.691.561.850.881.631.461.740.931.481.291.540.841.351.141.420.921.201.271.560.851.221.361.701.16-----
59.1548.6596.3757.4356.9547.4092.8263.5960.9344.2298.8562.1156.3949.9010353.1157.5948.5710355.0761.5051.7296.2861.0169.6958.3010766.7378.9863.5598.3475.2870.6857.5210573.6666.2352.8777.84-----
-4.66-4.33-23.02-1.97-2.01-1.63-3.92-1.75-0.180.971.095.075.69-11.68-3.27-6.03-12.85-62.55-135.93-196.85-162.73-120.60-62.71-156.73-108.42-78.60-218.23-163.21-93.73-66.98-49.35-43.02-37.79-31.73-36.53-32.07-25.01-20.47-17.43-----
-3.97-3.63-19.54-1.74-1.76-1.42-3.43-1.55-0.160.840.923.973.82-29.61-3.74-7.68-18.74-115.57-840.19-2,009.61-1,027.63-312.15-155.50-582.04-232.41-120.872,421-431.66-153.96-92.34-63.70-53.39-44.83-36.79-42.08-36.21-27.95-22.12-18.65-----
1.831.468.001.031.010.751.700.940.10-0.40-0.31-0.99-0.57-1.11-0.37-0.56-0.80-2.69-3.17-4.85-4.38-4.46-3.03-7.35-6.98-6.93-5.90-9.20-8.29-8.64-7.47-8.62-8.82-8.88-10.13-11.48-10.45-9.81-9.49-----
-30.33-64.86-164.73-6.26-6.46-5.87-13.29-4.99-0.504.5715.66-11.25-3.44-2.70-0.97-2.54-3.69-13.19-20.85-28.52-29.10-29.71-16.98-40.35-35.63-31.43-39.86-46.17-36.39-32.20-27.03-26.63-25.14-22.60-27.20-25.45-20.57-17.31-15.11-----
-3.07-2.73-2.99-3.75-3.73-3.54-3.63-3.97-4.07-3.34-2.72-1.83-1.000.770.950.550.380.270.150.140.150.210.220.180.250.330.110.190.310.450.570.690.790.961.111.391.651.922.24-----
1.140.882.151.551.050.831.981.390.950.741.511.230.870.591.260.880.610.410.300.200.140.180.390.170.120.130.260.10-0.010.07-0.02-0.12-0.07-0.03-0.55-0.58-0.45-0.27-4.24-4.61-3.42-1.710.000.00
1.090.852.021.450.990.791.871.320.910.721.441.180.840.571.160.800.550.380.210.130.090.160.270.070.070.100.180.06-0.020.06-0.14-0.23-0.16-0.12-1.15-0.98-0.68-0.35-6.17-6.59-4.95-2.14--