Compass Diversified Holdings Financial Ratios for Analysis 2009-2024 | CODI

Fifteen years of historical annual and quarterly financial ratios and margins for Compass Diversified Holdings (CODI).

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
5.133.362.932.403.082.632.482.242.502.273.072.353.052.202.12
0.520.570.500.420.250.540.390.380.260.380.330.410.300.190.14
1.101.351.000.740.341.200.640.620.360.600.500.700.450.240.17
43.3938.9738.3936.8736.1734.6236.0433.3833.0732.2031.8831.5229.5327.4230.21
4.376.517.145.392.064.172.441.956.865.0114.156.08-1.45-9.155.11
4.376.517.145.392.064.172.441.956.865.0114.156.08-1.45-9.155.11
11.5413.2113.8012.128.9511.1811.1311.0614.5411.7419.0812.147.01-0.4512.02
-0.852.031.551.88-4.76-0.62-0.966.463.3043.2110.993.03-4.28-11.452.33
11.961.816.651.5723.90-0.422.795.5919.8043.806.83-0.4510.71-9.66-5.22
0.540.520.550.560.670.570.550.550.510.410.710.930.590.510.61
1.571.801.882.612.542.892.603.068.137.403.304.764.444.736.79
6.476.756.217.006.606.604.665.406.875.366.638.798.786.073.04
56.4254.0958.8152.1255.3055.2778.3067.6053.1068.1455.0641.5241.5860.15120
-3.190.351.161.48-8.12-2.601.706.011.0333.4111.051.26-5.50-11.520.38
12.66-0.57-2.42-4.84-42.3311.28-7.58-39.436.82207526-4.05-52.20-46.5252.63
-1.010.100.360.52-3.70-0.800.783.020.6317.456.020.60-3.18-6.740.23
-1.220.110.440.64-4.49-0.940.933.720.7620.877.400.75-3.88-9.280.33
20.1918.8618.6918.8019.4615.3515.4616.4716.0814.8911.789.4512.3512.3313.87
1.08-0.402.052.351.411.911.372.041.561.441.501.091.931.100.59
0.31-1.261.541.890.961.230.721.601.271.241.160.701.470.880.48

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
2024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
4.184.085.133.713.773.503.363.173.373.232.932.512.471.532.402.823.244.163.083.464.972.822.632.522.682.932.482.412.413.092.242.741.992.742.502.652.412.552.272.493.463.113.073.242.312.152.352.312.262.383.052.161.831.682.201.971.851.362.121.932.161.89
0.540.530.520.560.550.540.570.560.490.500.500.480.460.450.420.330.330.340.250.390.430.490.540.540.500.480.390.390.380.390.380.460.320.270.260.260.390.400.380.360.390.360.330.330.450.420.410.380.370.380.300.350.190.180.190.280.160.170.140.130.130.14
1.171.151.101.291.251.171.351.290.950.991.000.940.841.310.740.500.490.520.340.630.740.961.201.161.000.940.640.640.610.650.620.860.480.370.360.350.660.660.600.570.650.580.500.500.830.750.700.620.600.620.450.550.250.240.240.400.210.350.170.160.160.17
47.7546.1241.9344.6344.5042.3734.6139.8741.0739.3432.2239.3640.2241.2538.5037.5735.1935.8339.1335.1636.4735.2834.6034.4234.8534.6148.6336.3435.7032.5332.4532.6735.8033.1736.8234.9331.6529.3027.5432.5830.6831.0329.9231.0631.4731.6230.8631.9031.6931.5833.8030.1430.8731.6330.1821.6021.1920.0921.7921.9222.3220.96
11.317.36-2.904.998.657.14-1.937.609.768.742.478.578.428.595.317.774.034.07-3.28-0.336.014.025.915.793.441.6217.504.472.34-3.94-3.414.504.904.1814.697.917.57-2.182.304.598.097.3511.3233.565.976.962.008.447.835.6813.625.305.950.1010.15-4.602.25-4.291.782.441.03-22.55
11.317.36-2.904.998.657.14-1.937.609.768.742.478.578.428.595.317.774.034.07-3.28-0.336.014.025.915.793.441.6217.504.472.34-3.94-3.414.504.904.1814.697.917.57-2.182.304.598.097.3511.3233.565.976.962.008.447.835.6813.625.305.950.1010.15-4.602.25-4.291.782.441.03-22.55
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1.442.12-7.950.162.951.76-9.283.046.345.55-1.705.79-3.074.501.564.30-0.211.53-12.58-6.230.22-3.39-1.661.34-1.45-0.9010.102.64-0.42-8.660.4721.189.15-5.869.347.4111.31-15.392.081865.335.34-1.3031.413.194.69-0.685.864.212.29-14.663.654.15-1.34-2.71-5.271.49-5.121.271.52-0.26-25.35
-3.60-0.3126.51-1.782.7921.78-2.94-0.315.114.655.5918.05-3.394.654.724.95-5.581.101.90-7.1664.4332.26-2.301.31-0.27-0.6872.872.38-1.34-12.060.5519.708.98-8.29-12.1689.0012.25-13.882.791852.131.89-2.7327.64-0.230.66-3.081.450.03-0.4026.674.804.79-3.93-0.68-6.52-0.36-4.52-0.460.650.22-9.94
0.140.140.140.150.130.130.110.150.160.160.130.170.160.120.150.180.160.160.110.180.140.140.130.150.150.150.040.180.170.170.180.140.150.140.120.130.130.120.170.110.240.220.220.240.250.250.230.240.230.180.210.130.140.180.190.450.430.380.440.380.340.34
0.340.360.410.390.340.370.390.480.440.500.470.610.670.620.690.700.680.700.380.760.650.700.670.720.740.760.170.850.860.941.010.731.681.641.731.621.091.113.280.991.121.011.071.271.181.281.191.211.131.071.481.081.041.561.684.174.024.755.474.724.034.56
1.511.551.631.631.641.481.371.761.921.921.421.891.871.691.901.601.741.811.051.751.791.291.521.171.251.340.381.641.581.681.761.451.711.521.551.491.241.172.221.101.961.902.082.061.932.022.172.021.941.623.120.670.640.872.241.982.062.042.192.032.052.29
59.4758.0755.2455.2854.7760.7765.8051.0046.8746.7763.2347.7448.2553.4147.3656.3951.8449.6986.1151.3250.1669.9859.1677.1072.1967.1223855.0457.0453.6651.1962.0452.6659.3458.1260.5072.5677.0040.5181.9545.8947.3943.2243.7346.6144.4741.5244.6046.3555.4528.8713514110440.2545.5143.7944.1541.1544.2843.8339.26
-1.190.20-3.73-0.460.900.14-3.62-0.272.521.840.122.09-2.491.44-0.021.84-0.820.59-2.87-3.22-0.39-1.60-1.20-0.09-1.06-0.153.611.04-0.34-2.510.205.822.23-1.741.091.112.52-3.931.1136.082.201.31-0.8912.930.460.82-1.191.380.800.07-5.090.500.48-1.01-1.03-5.68-0.13-3.11-0.010.54-0.03-8.55
2.20-0.3614.830.70-1.34-0.225.940.33-9.01-5.01-0.26-3.795.20-3.300.0826.12-12.863.30-14.93-42.74-3.263.755.220.121.930.29-16.09-3.591.1413.01-1.32-24.27-38.23-21.047.225.98-43.2946.646.84-4,342.31-41.74-21.80-42.31257-1.25-2.413.82-5.95-3.59-0.25-48.33-2.03-10.4913.12-4.1435.645.0418.29-1.3633.95-1.12145
-0.360.06-1.19-0.130.260.04-0.99-0.080.830.590.040.66-0.810.40-0.010.74-0.340.24-1.31-1.34-0.16-0.55-0.37-0.03-0.36-0.051.650.46-0.15-1.270.102.631.24-1.050.670.681.27-1.990.5819.271.090.67-0.487.070.200.38-0.570.680.400.03-2.950.250.27-0.56-0.60-2.86-0.08-1.65-0.010.33-0.02-5.24
-0.430.08-1.43-0.160.320.05-1.20-0.091.000.710.050.81-1.000.60-0.010.91-0.410.28-1.58-1.62-0.19-0.66-0.43-0.03-0.43-0.061.980.57-0.19-1.530.123.131.51-1.270.810.821.52-2.370.6923.081.340.84-0.608.670.250.48-0.700.860.510.04-3.590.320.38-0.83-0.83-4.07-0.11-2.58-0.010.47-0.02-7.35
19.4619.8420.1919.3519.7220.0718.8619.2819.0118.7718.6918.2918.0718.6618.8018.3518.4418.9519.4618.0319.6516.7115.3515.9316.1916.5815.4615.0115.1314.2616.4715.3614.8615.5016.0816.6714.2514.0814.8914.8711.6011.6511.7812.548.829.119.4510.1710.4111.1012.3512.6511.7211.5212.3312.3713.2113.4313.8714.1814.5015.68
-0.64-0.181.080.790.520.22-0.40-0.56-0.50-0.482.052.261.690.562.351.741.410.571.410.530.14-0.151.910.980.590.111.370.990.60-0.022.041.120.840.111.560.860.590.061.370.960.23-0.131.501.120.460.421.090.44-0.10-0.101.891.221.040.851.020.690.180.450.550.590.510.82
-0.89-0.280.310.190.120.01-1.26-1.10-0.85-0.631.541.831.440.451.891.441.210.460.960.16-0.10-0.241.230.400.17-0.090.720.470.27-0.171.600.830.650.031.270.650.46-0.011.180.810.08-0.201.160.820.280.350.700.24-0.25-0.171.440.900.790.750.820.580.130.420.450.520.460.78