Comstock Resources Financial Ratios for Analysis 2009-2024 | CRK

Fifteen years of historical annual and quarterly financial ratios and margins for Comstock Resources (CRK).

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
0.680.850.500.450.740.771.800.981.630.380.290.560.600.882.88
0.530.490.720.670.690.691.501.351.160.550.460.590.540.320.31
1.110.942.581.992.192.18-3.01-3.85-7.301.220.841.421.150.480.44
99.8999.77100.00100.0099.97100.00100.0052.1171.9996.5192.0584.9897.6699.2599.69
14.4862.8848.6719.0035.7632.51-0.07-104.60-461.79-5.78-17.21-35.35-9.51-3.44-10.77
14.4862.8848.6719.0035.7632.51-0.07-104.60-461.79-5.78-17.21-35.35-9.51-3.44-10.77
53.8376.6675.2171.5773.8571.9362.37-13.95-332.4563.0964.4549.9958.2958.5062.45
15.7838.64-12.44-7.1816.22-2.21-50.66-72.83-476.01-14.73-38.75-37.57-11.07-7.00-16.14
13.4931.00-14.01-9.729.64-7.34-43.63-76.91-414.82-10.399.45-24.46-7.71-5.61-12.46
0.250.640.400.190.170.180.270.200.210.250.200.160.160.180.16
---------------
6.767.116.915.894.153.656.627.8313.4311.328.2010.168.087.813.54
53.9751.3252.8062.0088.0610055.1446.6227.1732.2444.5235.9445.1546.72103
8.8950.08-23.87-4.148.48-5.0330.1749.82611-6.56-11.21-11.04-3.23-1.83-3.42
10.3558.74-35.71-5.6312.00-13.0530.1749.82611-6.56-11.21-11.04-3.23-1.83-3.42
3.3920.04-5.18-1.132.08-1.31-11.97-15.19-87.56-2.52-4.99-4.01-1.27-1.00-1.96
4.2225.75-6.66-1.392.66-1.58-15.03-17.48-97.13-2.96-6.10-4.57-1.50-1.24-2.37
8.568.214.355.456.025.38-23.94-19.46-17.9492.8699.8396.42108112113
3.676.123.722.682.411.5611.92-2.023.2643.0728.0628.2429.9434.2019.58
-1.332.291.330.31-0.19-0.12-0.30-4.54-14.27-25.12-17.272.06-40.85-17.48-19.17

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
0.590.640.680.500.370.670.850.650.550.290.500.290.340.560.450.390.640.820.740.690.660.680.770.731.071.241.800.580.680.780.981.321.512.071.632.112.431.610.380.470.500.470.290.862.742.980.560.440.490.710.600.590.760.870.881.061.342.532.881.801.310.99
0.550.520.530.520.490.480.490.580.660.740.720.810.750.710.670.680.660.680.690.700.680.680.690.701.621.571.501.431.401.371.351.271.221.221.160.920.680.640.550.520.510.500.460.410.460.600.590.550.540.540.540.410.390.360.320.330.310.300.310.240.230.20
1.211.091.111.100.950.910.941.401.972.822.584.283.012.481.992.111.902.142.192.342.092.172.182.39-2.61-2.80-3.01-3.32-3.51-3.68-3.85-4.66-5.53-5.50-7.3011.252.101.761.221.061.031.000.840.890.861.481.421.231.171.171.150.700.640.550.480.490.440.440.440.320.300.25
100.00100.00100.00100.00100.0099.6499.49100.0099.7599.81100.00100.00100.00100.00100.00100.00100.0099.99100.0099.89100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00100.00-51.78100.0078.9999.1891.7970.2036.5292.9492.10100.00100.0082.9197.3290.9697.2735.3998.5599.9798.7899.9399.6399.9389.1799.8698.4599.8998.9099.4299.6699.8099.98
-37.47-3.8312.3712.55-5.9229.7454.2464.8068.6064.1745.5957.8642.6246.9137.396.952.1819.4935.1534.0234.0541.9553.0641.6812.56-7.06-33.0716.7517.034.43-12.16-196.28-55.77-153.08-615.13-971.36-235.65-145.71-71.300.1817.8114.25-23.05-8.14-16.69-21.95-113.27-29.68-10.43-1.30-46.7610.127.45-9.39-40.482.630.1414.32-1.83-17.12-19.40-8.36
-37.47-3.8312.3712.55-5.9229.7454.2464.8068.6064.1745.5957.8642.6246.9137.396.952.1819.4935.1534.0234.0541.9553.0641.6812.56-7.06-33.0716.7517.034.43-12.16-196.28-55.77-153.08-615.13-971.36-235.65-145.71-71.300.1817.8114.25-23.05-8.14-16.69-21.95-113.27-29.68-10.43-1.30-46.7610.127.45-9.39-40.482.630.1414.32-1.83-17.12-19.40-8.36
--------------------------------------------------------------
-68.61-6.7827.914.86-20.8735.5962.1838.5251.29-27.2668.05-51.71-72.12-48.1943.27-96.97-34.1623.6523.424.7422.2514.0442.541.46-55.53-56.90-83.45-37.13-34.04-41.81-107.81-58.2212.13-141.23-631.07-938.14-268.71-180.59-74.95-1.652.021.31-52.95-32.79-31.07-38.69-127.98-53.5611.661.43-54.533.995.813.42-34.94-6.16-1.817.07-10.03-21.89-23.82-11.40
-51.17-4.8626.213.91-15.8627.4753.4629.5139.37-22.0554.32-57.26-53.55-40.6628.21-73.53-33.4213.2613.99-0.6016.7110.7032.77-2.96-55.34-57.70-57.74-37.02-34.88-42.62-115.02-56.5811.92-153.31-610.96-888.19-174.71-118.01-52.27-1.311.220.82-36.70-21.54120-28.57-86.09-31.356.471.24-35.901.063.512.73-28.37-5.90-1.796.92-7.34-18.64-17.69-8.28
0.040.050.070.060.050.090.170.210.180.110.140.100.070.070.060.040.040.050.060.050.060.060.070.050.070.080.080.070.070.060.050.060.040.030.040.040.040.030.050.060.070.060.050.050.050.040.040.040.040.040.040.050.050.040.040.040.050.060.050.040.040.04
--------------------------------------------------------------
1.592.541.771.751.491.931.901.902.012.192.452.101.852.231.881.761.671.661.561.611.681.321.431.271.561.961.901.941.912.202.132.692.212.542.512.582.421.962.302.011.931.912.061.251.741.632.251.872.632.132.132.412.191.761.632.482.172.351.110.992.282.13
56.5935.3850.7351.3260.5546.7247.4847.4544.8641.0936.7742.8148.7040.3947.7551.0453.8354.2957.7056.0553.4368.2562.7470.6457.5446.0247.3946.3347.0040.9742.3033.4340.8135.3835.8134.8637.1545.9539.1944.8646.6247.1143.6272.2151.8055.2339.9448.0934.2642.2942.2537.4141.0751.1055.3636.3341.4238.2380.7790.7939.4942.26
-5.21-0.584.550.64-1.995.6522.8221.9629.65-12.4035.59-44.00-18.97-11.876.47-10.65-3.793.584.820.633.532.338.83-0.587.6910.2211.457.537.028.0320.2512.94-2.3425.69168-472.68-20.52-9.92-6.70-0.200.200.12-3.85-2.42-2.09-2.72-8.25-4.371.600.14-3.960.120.370.22-1.93-0.44-0.150.68-0.63-1.18-1.10-0.54
-6.07-0.685.290.76-2.336.5826.7627.7040.29-19.8053.24-90.27-29.39-16.898.80-14.85-5.085.016.830.928.375.8122.93-1.777.6910.2211.457.537.028.0320.2512.94-2.3425.69168-472.68-20.52-9.92-6.70-0.200.200.12-3.85-2.42-2.09-2.72-8.25-4.371.600.14-3.960.120.370.22-1.93-0.44-0.150.68-0.63-1.18-1.10-0.54
-1.95-0.231.730.24-0.782.369.136.377.13-2.357.72-5.90-3.77-2.831.77-2.81-1.100.911.180.150.940.612.30-0.15-3.69-4.60-4.55-2.75-2.38-2.65-6.17-3.220.46-5.21-24.13-35.63-6.12-3.17-2.57-0.080.080.05-1.71-1.06-0.95-0.93-3.00-1.660.630.05-1.560.060.180.12-1.05-0.24-0.090.39-0.36-0.73-0.70-0.36
-2.36-0.282.160.31-1.022.9711.739.169.97-3.259.93-8.34-4.74-3.412.17-3.42-1.311.141.510.191.140.732.77-0.17-4.78-5.81-5.71-3.25-2.80-2.99-7.10-3.540.52-5.71-26.76-38.58-6.63-3.59-3.02-0.100.100.06-2.09-1.43-1.13-1.10-3.41-1.960.740.06-1.840.070.220.14-1.30-0.29-0.110.47-0.44-0.89-0.84-0.43
8.108.488.568.208.268.588.216.935.453.864.352.814.074.865.455.115.666.186.025.775.725.515.384.92-27.21-25.37-23.94-21.29-19.72-18.67-19.46-16.44-82.87-20.72-17.9412.0868.9683.2092.8698.1698.6998.8899.8310410693.3596.42105108107108112113113112113112114113114112112
0.880.623.672.852.591.406.124.432.511.233.722.671.670.842.681.691.270.532.411.651.640.711.560.855.671.4311.926.133.760.23-2.02-4.45-2.70-3.133.262.5413.146.5443.0735.2621.8410.2428.0622.0711.5510.4228.2424.3015.2814.3629.9423.6412.825.5434.2027.3121.8513.6919.5813.097.724.50
-1.15-0.65-1.33-0.940.060.062.291.660.650.311.330.480.200.120.310.250.150.02-0.19-0.15-0.04-0.19-0.12-0.026.52-1.65-0.30-2.72-2.06-2.47-4.54-7.63-5.43-4.48-14.27-11.57-93.79-8.71-25.12-18.58-16.71-15.16-17.27-3.39-2.653.782.069.32-6.50-0.91-40.85-24.23-18.37-7.99-17.48-15.99-5.233.22-19.17-15.06-12.19-6.81