CreditRiskMonitor Financial Ratios for Analysis 2009-2025 | CRMZ

Fifteen years of historical annual and quarterly financial ratios and margins for CreditRiskMonitor (CRMZ).

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
2024202320222021202020192018201720162015201420132012201120102009
1.041.511.431.341.061.081.111.171.251.311.281.281.281.351.221.04
----0.09-----------
----0.58-----------
56.4858.6361.1562.8961.6960.2858.5059.4661.4262.6461.3162.5066.2767.4073.9973.01
6.317.888.7413.49-1.511.29-2.31-2.081.367.345.675.238.8111.9417.9510.36
6.317.888.7413.49-1.511.29-2.31-2.081.367.345.675.238.8111.9417.9510.36
7.299.0410.7215.23-0.122.72-0.94-0.642.929.097.496.6510.1613.5419.3811.68
10.9411.669.7522.70-1.342.37-1.38-1.721.577.365.814.909.0112.9118.2010.53
8.458.957.5719.71-0.301.50-1.290.090.414.113.042.484.798.9510.8522.11
0.800.790.800.840.840.911.020.970.900.900.880.930.870.810.830.83
----------------
5.464.805.146.096.156.345.666.266.136.485.876.936.236.556.645.73
66.9075.9871.0659.9659.3357.5964.5058.3559.5556.3462.1752.6558.6055.7654.9663.74
15.0318.0917.9754.88-1.768.08-6.060.341.3211.919.097.5513.4818.9724.5951.14
18.2322.8624.2280.58-6.3529.41-17.870.742.6121.7917.4615.1726.8332.0446.79121
6.727.046.0516.47-0.251.36-1.320.090.373.712.682.304.177.238.9618.35
15.0318.0917.9754.88-1.608.08-6.060.341.3211.919.097.5513.4818.9724.5951.14
1.040.870.710.570.250.250.280.330.370.400.390.380.380.470.400.33
0.270.130.160.180.110.080.020.020.100.070.120.070.140.170.260.17
0.230.110.140.150.090.07-0.010.000.070.040.110.030.140.160.230.15

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
2025-03-312024-12-312024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.991.041.101.511.521.511.531.511.481.431.431.381.361.341.121.081.061.061.121.101.061.081.121.091.071.111.131.141.141.171.221.211.221.251.301.301.291.311.351.301.311.281.291.281.281.281.331.291.271.281.391.351.311.351.281.301.251.221.181.151.101.041.111.041.04
----------------0.020.090.140.20---------------------------------------------
--------------0.420.480.540.580.550.61---------------------------------------------
53.1359.5755.9755.9554.3058.3459.2958.6958.1759.5963.8461.4559.7063.0664.8562.9660.6164.4462.4860.6658.8561.6761.3160.0157.9859.2759.3059.3555.9960.0360.6360.2056.8661.5961.2663.0759.7164.1664.0362.3459.9560.9062.2065.9356.1760.6464.3361.2763.8266.5967.6165.8364.9767.6168.3467.7365.8272.1575.7275.1372.9774.9474.7170.6171.29
0.5217.048.97-0.52-0.7511.746.398.564.6611.1912.586.404.4921.5716.299.835.80-4.828.91-2.89-7.745.276.46-1.59-5.485.61-1.30-3.69-10.304.72-0.14-3.34-9.997.813.91-1.54-5.129.3210.427.631.859.998.118.74-4.554.5210.413.742.058.7615.677.273.1418.379.6510.538.9918.9323.0415.3114.1118.6019.731.43-0.91
0.5217.048.97-0.52-0.7511.746.398.564.6611.1912.586.404.4921.5716.299.835.80-4.828.91-2.89-7.745.276.46-1.59-5.485.61-1.30-3.69-10.304.72-0.14-3.34-9.997.813.91-1.54-5.129.3210.427.631.859.998.118.74-4.554.5210.413.742.058.7615.677.273.1418.379.6510.538.9918.9323.0415.3114.1118.6019.731.43-0.91
-----------------------------------------------------------------
4.2322.0614.303.453.4515.7210.3112.687.7313.6513.786.654.5157.5216.299.845.88-4.838.93-2.80-7.136.117.55-0.38-4.316.75-0.25-2.81-9.675.230.31-3.05-9.847.623.89-1.02-4.559.3610.287.652.0210.027.939.19-4.264.5110.552.511.828.6016.167.833.0318.8111.6711.849.0517.6724.7015.9214.1418.6519.860.790.38
3.2717.1411.012.622.6512.127.909.646.0010.9910.694.783.4854.0811.467.604.54-3.856.960.75-5.354.305.54-0.32-3.904.89-0.32-2.50-7.5810.50-0.56-2.50-7.552.542.47-0.65-2.904.516.324.351.195.294.097.23-4.690.866.351.511.103.209.694.271.8213.138.878.265.3010.5514.799.528.3061.4819.810.740.30
0.200.200.190.200.200.200.210.210.210.210.210.210.210.210.230.220.220.220.230.220.230.240.230.220.220.260.260.250.250.250.250.240.240.230.220.220.220.230.220.220.230.230.220.230.240.240.240.230.220.220.210.210.200.210.220.220.210.220.230.220.220.230.250.240.22
-----------------------------------------------------------------
1.251.391.401.391.271.231.671.601.351.331.541.291.391.561.901.441.531.622.081.701.691.651.991.851.791.452.221.931.711.602.241.861.681.572.172.041.531.642.291.922.131.521.752.301.891.772.842.721.851.612.272.711.421.672.111.711.521.732.221.871.521.552.462.181.55
72.0064.6164.0764.8970.9872.9053.9856.1466.8967.8458.4069.7264.6957.8647.3162.4059.0055.6843.3653.0453.2754.7045.2148.6650.3162.0640.5946.7252.7156.2840.2248.3053.4557.3041.4244.0858.6854.9739.3246.8542.2359.3651.4939.1747.6150.8231.7133.0448.6155.9939.6933.2463.3453.8142.7352.7859.3251.9740.5948.0259.1757.9136.5441.2557.88
1.407.785.381.341.346.304.335.413.506.746.913.262.4038.4713.209.966.48-5.899.871.13-7.906.016.67-0.41-4.815.89-0.34-2.64-7.6210.03-0.51-2.26-6.502.101.82-0.47-2.053.304.233.060.874.093.015.38-3.680.674.431.090.792.325.102.310.987.115.194.623.026.249.195.675.0438.5914.230.580.22
1.709.436.651.671.687.965.577.064.659.099.574.653.4856.4827.5525.1319.88-21.2931.454.81-35.6321.9018.52-1.31-15.4917.35-0.83-6.50-18.2722.06-1.08-4.77-13.554.153.28-0.84-3.696.047.235.501.627.865.6410.43-7.611.358.082.081.544.638.033.781.6312.019.338.115.5611.8718.7111.4410.8890.9845.102.951.15
0.653.482.140.510.522.451.621.991.252.272.240.990.7411.542.581.671.02-0.851.590.16-1.251.011.28-0.07-0.851.28-0.08-0.63-1.882.60-0.14-0.60-1.800.590.55-0.14-0.621.031.420.960.271.210.921.64-1.120.201.510.340.240.722.070.900.362.711.941.791.142.273.442.131.8713.854.960.180.07
1.407.785.381.341.346.304.335.413.506.746.913.262.4038.4713.209.966.33-5.378.500.90-7.906.016.67-0.41-4.815.89-0.34-2.64-7.6210.03-0.51-2.26-6.502.101.82-0.47-2.053.304.233.060.874.093.015.38-3.680.674.431.090.792.325.102.310.987.115.194.623.026.249.195.675.0438.5914.230.580.22
1.061.040.960.900.890.870.820.780.730.710.660.610.590.570.350.300.270.250.270.240.230.250.280.260.260.280.310.310.310.330.350.350.350.370.410.410.410.400.440.410.400.390.400.390.370.380.420.400.390.380.520.490.470.470.430.440.420.400.370.380.350.330.280.240.24
-0.080.270.210.150.060.130.130.06-0.020.160.130.04-0.010.180.110.03-0.020.110.070.020.010.080.060.040.030.020.010.000.000.020.020.00-0.030.100.090.070.000.070.080.040.020.120.090.070.000.070.080.090.040.140.120.110.040.170.140.070.000.260.190.130.040.170.120.090.04
-0.080.230.180.130.040.110.110.05-0.020.140.110.02-0.020.150.090.01-0.030.090.060.010.000.070.050.030.03-0.01-0.010.000.000.000.010.00-0.040.070.080.05-0.010.040.060.030.020.110.090.07-0.010.030.050.080.040.140.110.100.030.160.130.070.000.230.170.120.040.150.110.090.04