Avis Budget Financial Ratios for Analysis 2009-2024 | CAR

Fifteen years of historical annual and quarterly financial ratios and margins for Avis Budget (CAR).

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
0.800.730.770.870.961.271.261.031.081.111.241.161.051.761.35
1.011.041.011.010.960.970.960.980.970.940.930.930.950.940.97
-69.27-26.40-73.68-71.4022.1133.2922.3756.1128.0717.1613.9212.8321.2817.1129.30
52.7455.9454.3138.5048.7849.1649.4649.3949.6149.9048.6748.0248.7349.5548.63
18.6032.5722.88-11.016.185.664.836.128.068.208.9210.9010.255.942.12
24.7335.9226.24-5.139.939.108.069.4011.4611.5312.2514.9415.1011.807.85
53.8059.6453.2342.8944.5333.8433.3734.4336.1235.8235.8236.9641.6839.1336.83
15.9430.3218.34-17.703.132.932.383.224.494.621.224.080.611.39-1.50
13.5923.0413.80-12.663.291.814.081.883.682.890.203.94-0.491.04-0.92
0.370.460.410.310.400.480.500.490.480.500.490.480.460.500.51
---------------
13.3414.8112.028.3510.079.559.6010.7212.7314.1712.8213.3011.6416.4617.69
27.3624.6530.3743.7236.2538.2038.0334.0628.6825.7728.4727.4431.3722.1720.63
-476.68-393.71-613.8844146.0439.8663.0073.7671.3036.842.0838.31-7.0413.17-21.17
-77.41-113.14-62.8633.11-24.30-10.98-26.74-9.84-21.57-23.05-1.90-83.094.43-36.7314.16
5.0210.635.68-3.901.310.862.040.921.781.450.101.91-0.220.52-0.47
6.9915.528.46-6.281.991.162.701.322.462.030.142.79-0.320.73-0.70
-9.80-17.95-3.73-2.218.865.457.072.574.486.277.247.073.913.952.17
98.6697.2552.819.8034.1632.5731.2328.3025.0223.3220.2215.5315.0012.9414.59
91.6292.1751.188.4730.8629.6928.9026.2623.1221.6718.8614.4514.3812.4614.21

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
0.700.860.760.800.810.790.720.730.720.750.650.770.911.110.850.871.221.070.850.960.940.860.951.271.141.201.181.261.281.271.111.031.191.211.151.081.181.231.201.111.211.241.161.241.081.071.191.161.161.111.031.052.041.881.851.761.441.291.271.351.321.371.22
1.011.021.021.011.001.011.021.041.031.041.061.011.010.991.031.011.011.010.980.960.970.980.980.970.970.980.970.960.970.990.990.980.970.980.970.970.960.960.960.940.950.960.940.930.940.950.940.930.930.960.960.950.940.940.950.940.950.970.970.970.970.980.99
-104.36-51.44-48.48-69.27-836.39-179.81-44.16-26.40-34.90-28.89-17.09-73.68-74.63160-38.24-71.40-164.51-94.4053.1222.1130.4542.5345.4633.2927.8041.2530.7522.3735.3010195.6156.1129.4643.3536.9228.0722.5524.5623.1617.1617.5321.3416.6413.9214.9519.7715.5712.8313.7123.6522.4221.2815.6416.5117.3717.1119.8535.9629.9229.3027.9558.85155
54.7449.7447.3151.1656.7152.7748.8952.1858.7358.4252.8454.6159.1856.4739.3639.7046.2218.1639.6546.1653.1149.8544.2247.4153.4249.5344.5147.5554.3650.4942.9646.7354.1049.9844.7147.1653.3649.7546.7648.1754.0549.6446.2946.2452.3249.7044.9444.5252.2648.9344.9847.3651.7648.6546.6446.1753.3750.6246.9246.8150.1050.6146.40
12.274.36-2.239.1523.6321.4918.3022.0539.4435.3930.7624.9132.7923.03-2.84-2.808.87-69.21-9.533.3814.866.55-3.544.2014.764.04-3.762.8215.122.86-5.980.1115.296.20-0.903.7314.557.873.684.2914.597.664.088.8214.367.093.498.1315.9912.704.937.6715.4012.044.860.6514.095.561.30-2.598.263.28-2.09
19.2012.377.1317.2229.4626.9923.5026.4242.4638.3833.9228.0735.4526.282.622.4413.89-57.76-4.797.2218.1310.400.687.9517.827.47-0.106.3417.956.12-2.503.7818.199.452.557.4717.4611.327.357.9517.6210.947.5212.5517.3710.396.8612.0119.5416.999.4912.6419.9616.869.966.6919.3811.447.724.2213.388.693.69
---------------------------------------------------------------
9.450.89-5.575.8621.2419.1515.5318.6237.8333.3828.5821.1430.9620.50-18.22-9.963.46-80.13-15.120.6511.913.47-7.080.1512.781.63-6.550.0513.230.49-8.97-2.2912.992.81-4.570.2112.113.77-0.861.7512.042.190.27-2.069.60-1.90-3.37-3.7111.986.91-1.60-12.278.386.300.89-2.859.522.24-5.72-7.595.67-0.15-5.86
6.810.46-4.479.3717.5613.9312.2015.2729.1523.9821.7514.8722.4916.79-12.39-6.642.93-63.29-9.016.576.872.65-4.740.637.671.12-4.4210.908.900.13-5.82-1.657.871.61-2.71-0.267.146.58-0.491.227.551.190.21-1.514.93-1.40-2.72-2.7112.904.23-1.42-10.435.053.680.57-1.965.952.01-3.30-4.223.89-0.46-4.10
0.110.090.080.080.110.100.090.110.140.120.100.110.140.110.070.080.080.040.070.090.120.100.080.110.140.110.100.110.140.110.100.110.140.110.100.110.140.110.110.110.140.110.110.110.130.110.100.110.130.120.110.130.130.110.110.120.140.110.110.110.150.120.12
---------------------------------------------------------------
3.802.872.473.073.883.483.193.424.083.723.123.313.692.971.752.092.551.422.462.373.162.542.102.153.032.582.242.193.222.942.562.333.232.952.842.853.663.173.283.153.862.912.882.993.52-2.863.073.392.922.923.224.393.393.543.89-4.264.434.004.774.193.81
23.7231.3636.4129.3123.1825.8528.1926.3122.0524.1628.8327.1524.3830.2551.5642.9735.2663.5936.5537.9228.5135.4342.8941.9329.7434.8740.2441.1027.9630.6435.1438.7027.8530.4931.6731.6124.6228.3727.4428.5723.3330.8931.2230.1325.59-31.4529.3126.5430.7730.7827.9920.5226.5825.4323.12-21.1420.2922.5018.8621.4723.59
-103.93-3.1122.24-75.80-2,239.29-348.80-70.75-60.57-203.35-119.26-53.61-182.30-340.4043353.8058.06-59.21314-54.1121.6538.1816.49-28.093.1440.886.99-19.1238.3961.102.03-75.89-14.0344.0910.62-13.75-1.1430.6723.99-1.733.4626.233.900.57-3.6314.68-4.33-6.63-6.0835.4016.53-5.29-41.2614.869.771.60-5.8524.1311.56-16.81-22.0724.89-4.88-111.36
-11.99-0.685.01-12.31-35.48-23.24-14.34-17.41-46.86-32.25-18.92-18.67-32.88-22.447.774.36-2.2923.8110.06-11.42-13.70-4.035.79-0.86-15.36-1.715.88-16.30-16.04-0.176.181.87-14.68-2.313.280.34-14.31-10.830.78-2.16-22.64-2.67-0.423.32-14.513.085.3413.18-105.66-13.793.5525.998,200-185.71-5.7916.33-49.45-7.9811.5214.76-17.591.429.90
0.730.04-0.340.801.941.391.141.644.092.972.241.693.121.81-0.91-0.510.23-2.22-0.670.610.820.25-0.400.071.080.12-0.451.241.230.01-0.56-0.181.070.18-0.26-0.030.970.70-0.050.141.050.130.02-0.170.66-0.15-0.28-0.301.710.49-0.16-1.310.670.420.06-0.230.840.22-0.37-0.490.57-0.06-0.48
1.030.06-0.481.112.681.951.642.396.014.283.342.514.632.69-1.45-0.830.36-3.37-1.010.941.220.39-0.610.091.420.17-0.601.651.690.02-0.81-0.251.480.24-0.37-0.041.300.94-0.070.191.420.180.03-0.250.93-0.21-0.40-0.442.420.67-0.23-1.860.890.560.09-0.321.160.31-0.54-0.730.86-0.08-0.72
-6.54-13.39-14.11-9.80-0.76-3.13-11.03-17.95-11.79-13.52-19.66-3.73-3.411.31-4.51-2.21-1.09-2.194.238.866.514.954.265.456.684.655.627.074.891.781.662.575.333.683.914.485.945.714.916.277.086.396.667.247.475.956.427.077.404.484.093.915.235.054.163.953.612.182.202.172.241.200.43
76.9241.2616.5498.6681.3745.1120.2797.2580.9647.9021.0652.8139.4417.784.819.809.005.035.0834.1625.5112.635.8032.5726.3513.756.2131.2324.3013.375.2228.3023.0011.354.9025.0219.609.634.7423.3218.819.113.5920.2215.008.062.7915.5312.925.922.3915.009.875.442.5912.9410.575.212.7314.5911.966.733.22
73.1438.5215.0691.6276.5442.4619.1892.1778.4546.3620.3951.1838.5617.354.648.477.934.114.4930.8623.1611.105.0529.6924.3812.345.5128.9022.6512.364.7326.2621.6310.414.4923.1218.388.884.3521.6717.658.393.2618.8614.217.552.5914.4512.225.522.2014.389.645.312.5212.4610.265.032.6614.2111.786.593.14