Boxlight Financial Ratios for Analysis 2015-2024 | BOXL

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

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
202320222021202020192018201720162015
2.172.291.981.520.580.790.900.630.97
0.700.460.440.151.980.04-0.66-
2.400.860.970.55-9.600.380.093.6824.57
35.8229.2525.1217.9827.0722.8724.9136.3832.58
-14.881.37-1.39-23.15-24.40-18.49-28.13-6.31-60.70
-14.881.37-1.39-23.15-24.40-18.49-28.13-6.31-60.70
5.696.463.64-15.44-20.15-15.97-25.23-4.49-60.48
-21.10-1.67-5.67-30.92-28.47-18.97-25.40-10.12-66.89
-22.88-2.26-7.94-30.04-28.47-18.97-25.40-10.12-66.89
1.111.140.920.391.611.781.261.070.54
2.572.702.692.157.266.934.183.110.64
5.997.156.262.639.0110.418.336.922.98
60.9851.0358.2913940.5035.0643.8152.75122
-233.75-7.21-25.89-36.321,453-90.08-72.26-97.53-5,469.11
13414.5236.0748.3286.0023152023.171,232
-24.69-1.92-6.85-11.54-45.93-33.75-31.97-10.78-36.21
-70.07-3.91-14.46-30.88-1,420.24-86.52-72.26-33.39-5,469.08
1.735.566.686.67-0.446.267.573.660.08
1.220.14-0.32-0.88-3.19-3.04-1.974.410.42
1.090.00-4.92-0.93-3.19-3.04-1.974.430.42

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312015-12-31
2.212.172.172.242.792.752.291.901.992.021.981.481.521.561.521.801.280.560.580.730.720.660.790.870.860.900.90-----
0.830.800.700.590.460.470.460.490.500.470.44-0.040.090.150.200.112.531.980.300.370.270.040.040.06-------
5.384.232.401.450.930.890.861.141.231.070.970.440.370.440.550.500.66-10.09-9.602.341.890.820.380.450.270.100.09-----
37.7234.5531.7236.2737.8936.7833.6330.5828.2324.9321.2325.9027.4525.5911.1821.3734.3827.8017.6328.6127.6833.4925.1523.8617.8524.7011.5128.3628.5928.60--
3.17-9.72-42.76-23.354.41-0.44-1.979.401.48-6.83-12.735.753.32-6.09-23.53-18.50-10.14-46.55-53.11-11.92-11.40-46.66-9.04-18.92-22.54-30.11-106.455.33-11.68-34.38--
3.17-9.72-42.76-23.354.41-0.44-1.979.401.48-6.83-12.735.753.32-6.09-23.53-18.50-10.14-46.55-53.11-11.92-11.40-46.66-9.04-18.92-22.54-30.11-106.455.33-11.68-34.38--
--------------------------------
-4.07-16.77-49.43-29.55-1.18-6.98-5.715.270.11-9.77-17.653.480.65-15.40-29.46-44.43-18.22-34.07-48.92-4.17-13.18-92.23-4.96-11.98-46.12-15.09-86.964.60-13.60-37.22--
-4.66-19.97-46.35-36.38-2.40-7.87-5.464.06-0.49-10.22-16.960.68-4.64-16.41-27.94-44.43-18.22-34.07-48.92-4.17-13.18-92.23-4.96-11.98-46.12-15.09-101.054.60-13.60-37.22--
0.280.260.240.280.260.230.220.320.300.260.220.350.300.240.230.080.280.300.290.450.450.240.560.350.410.320.26-----
0.630.620.600.720.770.580.490.970.950.770.671.461.631.101.350.351.791.431.472.362.400.942.131.992.281.211.03-----
1.321.401.311.231.251.231.381.341.451.681.491.271.291.461.530.451.461.341.621.341.462.203.301.541.931.941.73-----
68.1164.3468.4673.2571.9973.3165.1867.1162.1153.4260.5070.6869.5261.7358.9520061.5967.0055.6266.9961.5940.9127.2958.4946.7546.2852.12-----
-19.75-78.05-105.49-57.93-1.59-5.88-3.896.640.06-10.22-13.401.33-4.34-10.92-19.26-9.50-13.29290448-12.52-40.82-103.36-7.46-14.94-52.25-9.98-59.58-----
4.2820.4160.4963.683.3210.927.83-10.46-0.0712.0418.66-3.968.7016.7925.6218.21-329.1718.1626.547.0119.6970.2019.1339.3416485.38429-----
-1.07-4.98-11.14-9.84-0.44-1.63-1.031.450.01-2.51-3.550.42-1.43-3.70-6.12-3.39-5.08-10.12-14.17-1.89-5.93-22.27-2.80-4.25-18.68-4.85-26.36-----
-3.31-15.25-31.62-23.99-0.86-3.13-2.113.420.03-5.43-7.481.33-4.15-9.89-16.38-7.62-11.87-443.13-438.24-8.82-25.64-75.83-7.17-14.27-49.10-9.98-59.58-----
0.760.931.733.195.385.305.565.055.265.806.687.176.926.676.676.972.69-0.39-0.442.782.633.376.266.436.797.527.57-----
-0.75-0.201.220.870.00-0.200.140.04-0.84-0.66-0.32-1.62-0.63-0.23-0.88-1.27-2.82-0.57-3.19-4.68-3.020.44-3.04-3.00-1.89-1.71-1.89-0.820.53-0.200.000.00
-0.79-0.241.090.85-0.01-0.210.00-0.05-0.92-0.73-4.92-1.63-0.64-0.23-0.93-1.27-2.82-0.57-3.19-4.68-3.020.44-3.04-3.00-1.89-1.71-1.89-0.820.53-0.20--