Comtech Telecommunications Financial Ratios for Analysis 2009-2024 | CMTL

Fifteen years of historical annual and quarterly financial ratios and margins for Comtech Telecommunications (CMTL).

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
1.441.361.411.741.931.691.671.654.674.391.826.257.535.457.45
0.230.190.290.210.240.230.270.34---0.320.240.220.24
0.300.230.400.270.310.330.410.55--0.500.470.320.290.32
33.5436.9936.7836.7836.8339.2539.6441.6645.2043.6244.0443.1739.3634.7741.08
-2.67-6.94-11.742.466.166.156.73-0.1411.0912.6510.7812.0617.6013.3613.12
-2.67-6.94-11.742.466.166.156.73-0.1411.0912.6510.7812.0617.6013.3613.12
5.741.44-4.679.3012.5314.1215.396.7116.6817.6216.1916.8722.1318.6319.50
-5.61-7.62-12.891.514.304.324.63-1.9911.0711.098.6010.3616.6212.5012.50
-6.16-8.90-12.631.143.735.222.88-1.887.567.255.577.6311.097.798.10
0.550.500.590.660.760.680.660.450.650.730.470.590.650.730.62
3.453.184.584.745.674.625.483.362.713.192.733.344.976.903.61
3.373.933.684.864.633.874.402.724.446.326.417.568.655.737.38
10892.8699.2175.0678.8094.3282.8713482.2657.7156.9748.2942.2063.7149.47
-6.14-7.08-14.671.284.685.893.30-1.655.796.344.417.5510.798.647.55
11714263.52-17.89-67.14-115.63-21.877.599.5210.787.6012.8015.2111.7511.19
-2.70-3.39-7.400.762.823.521.90-0.844.915.312.614.507.245.685.06
-3.79-4.71-10.471.003.584.552.40-1.085.796.344.415.158.196.725.73
19.6220.6919.0822.0722.0721.2220.3620.1624.8824.5624.5524.7225.9724.7622.33
-0.160.08-1.582.122.802.092.850.891.321.651.632.062.983.652.97
-0.81-0.66-2.211.832.441.732.500.551.121.421.401.812.773.442.52

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
2024-04-302024-01-312023-10-312023-07-312023-04-302023-01-312022-10-312022-07-312022-04-302022-01-312021-10-312021-07-312021-04-302021-01-312020-10-312020-07-312020-04-302020-01-312019-10-312019-07-312019-04-302019-01-312018-10-312018-07-312018-04-302018-01-312017-10-312017-07-312017-04-302017-01-312016-10-312016-07-312016-04-302016-01-312015-10-312015-07-312015-04-302015-01-312014-10-312014-07-312014-04-302014-01-312013-10-312013-07-312013-04-302013-01-312012-10-312012-07-312012-04-302012-01-312011-10-312011-07-312011-04-302011-01-312010-10-312010-07-312010-04-302010-01-312009-10-312009-07-312009-04-302009-01-31
1.780.990.901.441.391.481.431.361.341.281.391.411.471.571.621.741.671.771.951.931.792.202.141.691.721.821.771.671.751.781.651.651.964.705.034.674.604.974.784.391.701.751.811.827.558.577.556.256.587.957.587.538.437.937.075.456.847.727.167.455.595.24
0.21--0.230.220.230.210.190.180.170.160.290.300.310.320.210.230.220.240.240.250.250.280.230.250.260.270.270.310.330.340.340.47-----------0.330.320.320.320.310.290.260.240.230.230.220.220.230.230.240.24-0.17
0.280.290.330.300.290.300.260.230.220.200.180.400.440.450.470.270.290.290.320.310.330.340.390.330.370.400.410.410.490.530.560.550.92-------0.530.530.500.500.490.480.460.470.440.410.360.320.300.290.290.290.290.300.310.32-0.21
30.4132.1831.5232.6531.6534.3435.6935.8938.2138.0935.7437.7638.0434.5237.1333.1839.2237.4937.3336.2937.7937.3135.9237.6242.2337.9939.2540.8841.0538.2738.3840.8241.3841.8643.9943.0945.1046.3046.2444.0243.1343.7143.6441.8944.9943.2345.9643.5741.7641.7745.2442.0043.4637.4136.0532.1234.5837.1137.2038.4736.9641.34
-2.712.211.370.75-3.87-0.58-7.42-1.64-0.46-20.43-5.586.631.693.35-63.391.88-2.323.865.445.906.637.564.539.559.453.650.1810.007.949.24-0.544.90-10.794.533.3810.4210.0012.9910.7613.4911.8913.0712.1111.607.727.9714.6912.6810.5910.7513.9014.6316.7215.5222.509.9616.6616.0111.188.718.7313.34
-2.712.211.370.75-3.87-0.58-7.42-1.64-0.46-20.43-5.586.631.693.35-63.391.88-2.323.865.445.906.637.564.539.559.453.650.1810.007.949.24-0.544.90-10.794.533.3810.4210.0012.9910.7613.4911.8913.0712.1111.607.727.9714.6912.6810.5910.7513.9014.6316.7215.5222.509.9616.6616.0111.188.718.7313.34
--------------------------------------------------------------
-2.02-2.38-1.83-2.50-7.62-3.76-8.92-2.44-0.65-20.89-6.885.450.802.51-65.141.28-3.512.854.424.665.376.210.837.977.631.80-1.988.235.717.24-2.982.13-13.584.593.4410.4910.0413.0110.5213.349.9311.0010.029.555.255.6712.6710.898.768.9812.4513.5115.5214.6221.739.3815.8914.969.897.638.3312.46
-0.81-22.75-2.15-3.58-6.77-4.89-9.77-5.40-1.38-19.53-9.625.050.572.61-63.480.75-2.952.163.753.484.474.772.164.455.5511.79-1.374.953.464.74-1.831.77-11.563.522.247.076.929.276.848.946.617.006.366.114.083.178.177.036.085.8711.128.4710.889.8914.405.2410.089.546.755.065.928.41
0.130.130.150.150.140.140.130.130.120.120.120.150.140.170.150.160.140.170.180.200.190.190.190.200.180.160.150.180.150.160.150.170.140.150.140.160.150.170.160.190.140.130.120.120.100.110.130.160.130.130.130.150.130.160.170.240.210.180.140.130.180.20
0.931.061.220.950.870.880.850.850.790.830.861.131.041.291.041.221.031.361.491.501.281.181.151.391.121.161.051.441.121.211.111.260.970.700.570.710.580.650.620.820.740.690.680.750.540.600.720.880.760.770.831.090.911.271.342.371.881.190.890.790.790.76
0.640.680.820.910.950.991.021.030.980.870.850.920.971.081.021.180.981.091.061.221.191.181.011.141.161.131.071.181.061.110.991.010.931.311.081.121.061.191.251.631.371.501.341.691.461.771.942.011.371.631.521.981.872.011.971.892.011.701.451.541.471.50
14013311098.6895.2090.8188.3987.6891.4610410597.5993.0783.6687.9076.2691.8482.3985.1274.0175.3976.1789.1179.2577.4779.4084.3576.1184.8381.2790.7789.1797.1568.7983.3180.4684.9675.8072.2555.2765.8259.8766.9553.2261.7250.9746.4444.8865.8455.2959.1345.4148.1944.7045.6447.5844.8153.0361.9058.6261.3359.84
0.69-2.59-0.33-0.81-1.69-1.08-2.44-1.11-0.01-4.68-1.231.470.160.91-18.650.21-0.730.631.191.151.451.530.691.471.653.21-0.351.520.941.41-0.540.57-3.780.620.361.361.241.891.312.011.621.571.321.280.710.561.731.851.341.202.261.892.122.353.661.923.182.481.410.981.232.45
8.34-42.2049.8415.3326.9516.2639.1122.270.0860.8323.92-6.37-0.61-3.5669.34-2.878.01-8.42-22.10-16.45-14.53-78.46-16.48-28.97-21.10-30.702.33-10.11-5.01-6.802.35-2.658.051.020.592.242.063.142.213.422.972.812.282.201.230.962.913.132.191.913.352.662.913.225.012.614.493.562.061.461.834.21
0.28-1.06-0.14-0.36-0.75-0.49-1.13-0.530.00-2.20-0.610.740.080.44-9.350.12-0.420.370.690.690.840.930.400.880.981.92-0.200.880.510.75-0.280.29-1.590.540.311.161.051.611.111.690.930.910.780.760.420.351.051.100.810.761.481.271.461.612.491.262.151.680.940.661.051.69
0.38-1.84-0.26-0.50-1.06-0.67-1.56-0.740.00-3.20-0.861.050.110.63-12.680.16-0.570.490.900.881.091.140.501.141.242.37-0.251.110.650.94-0.350.38-2.010.620.361.361.241.891.312.011.621.571.321.280.470.381.181.260.930.851.671.431.631.822.851.492.461.901.070.751.232.02
20.2420.1419.5119.6219.7719.9120.2120.6921.4221.4822.2419.0818.8618.5118.4022.0722.0722.3022.0622.0721.7521.4421.1721.2221.0620.7720.1620.3619.9319.8019.6120.1623.4924.6224.7224.8824.8224.7824.5924.5624.1124.2924.5024.5524.5124.6024.7524.7224.7725.0925.7625.9725.8425.6125.3624.7624.1923.3422.7022.3322.0419.93
-1.56-1.44-0.51-0.16-0.01-0.60-0.220.080.320.360.18-1.58-2.15-2.49-2.932.121.561.250.222.802.210.54-0.582.091.270.380.272.851.871.090.330.890.761.440.311.320.47-0.50-0.291.650.500.00-0.051.630.930.650.512.060.690.43-0.032.982.131.340.573.652.420.820.382.971.770.85
-1.87-1.70-0.62-0.81-0.54-0.96-0.48-0.66-0.230.030.04-2.21-2.47-2.64-2.971.831.381.150.172.441.950.37-0.651.731.050.260.232.501.600.920.240.550.571.350.271.120.30-0.63-0.331.420.29-0.15-0.101.400.700.510.461.810.510.33-0.082.771.981.240.513.442.300.730.352.521.390.58