Comstock Holding Financial Ratios for Analysis 2009-2024 | CHCI

Fifteen years of historical annual and quarterly financial ratios and margins for Comstock Holding (CHCI).

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
3.832.433.312.740.900.850.991.121.020.921.441.120.320.180.07
--0.180.330.130.21--------0.76
--0.220.490.841.2415.095.228.2924.761.574.332.384.2616.36
26.1225.2920.7217.9716.376.835.617.0215.0619.7222.367.8710.662.7412.77
20.4920.2316.2911.808.991.78-10.58-16.51-5.79-6.205.02-84.08-35.56-36.58-100.28
20.4920.2316.2911.808.991.78-10.49-14.38-4.90-6.155.76-69.15-23.07-27.25-86.00
20.9720.7516.5912.2510.183.87-7.66-11.43-4.17-4.697.66-49.21-11.34-23.89-82.36
18.2319.9815.519.638.002.10-10.43-16.13-4.39-5.735.51-83.959.84-32.23-75.33
17.4123.8943.779.263.53-26.66-9.01-22.47-7.44-14.26-3.72-39.615.05-32.28-115.46
0.900.930.710.791.270.470.890.701.060.850.960.370.470.580.30
------0.960.781.360.941.060.47---
8.5310.3617.846.194.584.1971.4367.831854361588.889.8460.84-
42.8135.2320.4658.9279.7387.065.115.381.970.842.3141.1137.086.00-
20.9226.7886.5548.1191.96-102.25-220.39-95.28-46.00-167.8713.96-149.2916.94-115.45-399.61
21.0026.9263.4119.0922.3435.67-712.07-80.72-36.08-167.8713.96-149.2916.94-115.45-399.61
15.5918.2036.797.497.344.01-9.34-11.30-3.38-5.524.68-24.614.58-18.81-21.36
20.9226.7852.0812.8115.3019.18-183.07-80.72-36.08-167.8713.96-149.2916.94-115.45-97.87
3.853.053.071.391.051.520.762.441.610.606.252.194.332.401.61
0.890.880.960.421.233.341.40-3.560.80-1.73-1.47-5.634.305.894.73
0.870.810.930.411.203.341.39-3.570.75-1.82-1.501.014.285.884.73

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
6.527.658.673.834.404.424.912.432.301.404.833.314.423.513.762.744.013.961.650.900.710.581.210.851.241.341.040.991.001.061.081.121.000.890.951.020.950.960.910.921.131.231.371.440.280.520.521.120.400.560.600.320.280.100.120.180.110.100.100.070.050.050.24
----------0.170.180.180.190.320.330.340.380.440.130.16--0.21-----------------------------------0.76--0.39
---------0.230.200.220.210.240.490.490.520.621.460.840.880.912.191.243.012.3118.6215.0914.169.687.425.2215.9084514.188.2918.6314.0186.8724.763.012.511.871.571.671.561.524.332.631.511.262.382.064.293.244.263.793.203.0516.3632.382243.56
26.2617.1716.4823.0340.8414.3419.0021.9634.8619.3220.5717.9134.1313.0011.1415.7514.0028.6816.0524.5810.939.1414.7740.371.774.986.661.063.539.539.183.127.886.419.9917.0311.6914.1815.1423.7017.7819.1220.1822.0527.8218.9621.9821.367.064.692.9715.405.099.0512.8711.28-10.145.326.2915.457.0240.759.68
21.7611.4110.8117.6436.357.1712.8617.1530.2413.1915.6312.7930.867.786.4820.688.5220.002.7417.832.960.218.54177-5.29-6.51-7.23-21.85-8.64-5.35-6.66-37.50-6.52-14.45-13.10-3.10-8.26-6.36-9.01-25.905.56-5.29-10.366.194.24-0.148.96-78.86-128.77-72.79-60.20-42.88-42.50-30.37-24.40-56.14-64.39-29.31-18.91-49.27-5.83-684.08-57.35
21.7611.4110.8117.6436.357.1712.8617.1530.2413.1915.6312.7930.867.786.4820.688.5220.002.7417.832.960.218.54163-5.29-5.82-6.26-21.62-8.52-5.35-6.66-34.87-5.50-11.39-10.87-2.64-7.45-5.12-7.37-25.875.66-5.26-10.336.204.880.8310.91-73.07-123.31-44.70-44.96-25.57-25.68-22.94-16.88-40.85-61.84-16.54-9.63-41.50-2.26-633.81-31.47
---------------------------------------------------------------
22.6612.1210.5314.5534.696.948.8615.8929.2812.5917.8413.0730.325.275.7316.217.5918.910.5217.020.79-1.469.34175-4.97-5.18-7.07-21.88-8.48-5.09-6.47-37.06-5.77-14.32-13.01-2.87-8.03-1.73-7.15-25.336.14-5.19-9.676.514.670.939.19-77.88-130.06-72.60-59.47-40.25131-25.51-18.38-56.55-61.33-28.67-9.7619.5218.66-687.41-50.15
18.298.808.5516.9832.395.307.3414.0428.0232.4820.01-9.8328.731773.619.587.1826.19-0.1717.75-11.04-4.441.74-97.34-56.00-29.01-8.22-30.06-10.933.682.79-50.07-8.65-19.99-18.65-6.58-8.88-6.43-9.14-34.91-0.87-14.10-19.85-5.53-7.72-6.866.26-75.95-129.08-73.40100-44.54123-28.39-22.35-56.96-61.33-28.67-9.7635.6019.32-1,064.58-53.36
0.250.220.230.220.310.220.260.220.320.220.210.180.240.160.250.180.320.250.310.470.350.190.160.020.090.080.170.210.250.190.180.150.230.210.200.450.210.200.180.170.340.210.150.370.190.260.270.070.120.140.110.130.110.140.120.070.130.130.170.050.120.020.03
----------------------0.24-0.130.090.190.240.270.190.190.170.250.270.250.570.220.230.200.180.360.220.150.42---0.07--------------0.23
1.771.642.032.101.321.642.532.451.672.252.644.462.202.061.081.411.270.921.441.701.651.661.790.190.855.691.9117.0210.3714.0671.3114.3425.499.0512.2978.9423.6813.1710.4489.4954.839.0815.2161.485.097.296.881.642.683.982.462.75---6.88----786-64.38
50.9854.7644.4142.8568.1555.0335.6336.7253.9239.9634.0920.2040.8943.6183.6763.7571.0698.3362.6152.8554.5254.1750.2246910615.8247.155.298.686.401.266.273.539.947.331.143.806.838.621.011.649.915.921.4617.6912.3413.0854.9233.5422.6136.5732.68---13.09----0.11-1.40
5.702.422.405.0213.331.572.554.5413.493.0210.015.0916.0072.728.3121.4610.6225.29-0.67103-123.02-31.45-465.30-105.0163.137.66-37.45-109.69-45.02-13.55-12.56-45.89-54.98124-80.960.05-40.61-7.83-119.50-139.789.33-5.25-5.176.481.580.727.25-32.14-59.53-16.87-10.25-19.3046.46-21.76-10.31-23.02-43.28-17.28-7.1740.7585.44-4,214.99-8.83
5.722.422.415.0413.381.582.564.5713.563.047.493.7311.8251.134.018.524.569.79-0.1825.14-10.39-1.518.7036.634.783.36-318.78-354.40-85.30-12.19-11.30-38.88-28.78-3,175.99-46.150.04-40.61-7.83-119.50-139.789.33-5.25-5.176.481.580.727.25-32.14-59.53-16.87-10.25-19.3046.46-21.76-10.31-23.02-43.28-17.28-7.1740.7585.44-4,215.03-8.83
4.561.951.943.7410.031.181.923.099.331.824.762.167.1128.861.413.342.184.40-0.058.26-3.49-0.281.474.120.700.69-1.18-4.65-2.14-0.96-1.18-5.44-1.34-3.09-2.660.00-1.72-0.44-1.13-4.601.82-1.21-1.562.170.490.242.52-5.30-14.32-6.06-4.08-5.2214.07-3.54-2.12-3.75-8.22-3.84-1.662.182.33-17.01-1.61
5.702.422.405.0213.331.572.554.5413.493.026.223.069.7541.192.305.712.504.99-0.0817.21-6.55-1.116.4319.703.592.79-29.64-91.11-38.62-12.19-11.30-38.88-28.78-3,176.09-46.150.04-40.61-7.83-119.50-139.789.33-5.25-5.176.481.580.727.25-32.14-59.53-16.87-10.25-19.3046.46-21.76-10.31-23.02-43.28-17.28-7.179.9885.44-4,215.06-5.36
4.223.983.863.853.643.133.073.052.892.503.213.073.142.771.401.391.301.231.061.050.910.881.831.521.952.890.590.760.871.271.712.440.770.010.821.610.751.040.180.603.444.145.316.255.355.344.992.192.353.784.774.335.182.452.942.402.874.064.771.611.000.1710.99
0.28-0.09-0.220.89-0.04-0.24-0.250.880.19-0.06-0.220.960.340.09-0.230.420.210.08-0.241.230.870.150.863.342.872.23-0.011.400.760.600.20-3.56-1.870.19-0.120.80-2.24-1.76-1.24-1.730.25-1.10-0.87-1.47-2.020.961.32-5.63-1.74-0.36-0.384.303.991.050.515.895.344.132.604.733.430.340.36
0.25-0.11-0.240.87-0.06-0.25-0.270.810.13-0.12-0.240.930.330.08-0.230.410.200.07-0.241.200.850.140.853.342.862.18-0.031.390.760.600.20-3.57-1.880.19-0.120.75-2.29-1.80-1.27-1.820.22-1.10-0.87-1.50-2.051.031.401.014.625.955.974.283.971.050.515.885.344.132.604.733.430.340.36