CorVel Financial Ratios for Analysis 2009-2024 | CRVL

Fifteen years of historical annual and quarterly financial ratios and margins for CorVel (CRVL).

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
1.641.451.551.661.561.841.671.431.531.511.681.761.821.501.681.76
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21.5922.0223.5422.3721.2620.9519.2120.2020.7620.2922.6621.3522.7425.3725.3123.78
11.9611.7713.0810.7110.2510.338.589.179.159.2511.8010.2210.539.8312.8710.19
11.9611.7713.0810.7110.2510.338.589.179.159.2511.8010.2210.539.8312.8710.19
15.2615.2616.7814.9514.0514.1812.4813.2113.1112.9015.2313.8914.0913.0416.4113.99
11.9611.7713.0810.7110.2510.338.589.179.159.2511.8010.2210.539.8312.8710.19
9.599.2410.288.398.007.846.395.685.665.807.186.236.436.487.726.22
1.751.821.561.301.421.872.042.202.292.332.232.352.402.322.412.25
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8.198.877.828.549.008.358.608.258.438.568.378.748.367.777.697.52
44.5741.1646.6542.7540.5343.7142.4544.2243.3042.6343.6341.7543.6446.9547.4448.56
30.7932.8331.2721.0324.9723.9720.8521.2621.6222.3527.1823.9924.0524.7527.2620.02
36.3140.4438.1925.5431.5130.1327.2630.0931.4033.1040.6938.7839.3843.9349.4035.73
16.7716.8515.9910.9111.3814.6913.0312.5212.9513.5116.0414.6615.4515.0218.5914.01
30.7932.8331.2721.0324.9723.9720.8521.2621.6222.3527.1823.9924.0524.7527.2620.02
14.4611.7812.0912.3310.5610.509.057.326.756.326.035.184.884.283.983.73
5.724.683.715.204.354.143.262.662.572.122.562.441.531.871.501.10
4.043.182.064.252.613.331.811.071.731.031.711.780.541.101.040.71

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
1.661.641.561.511.431.451.381.421.441.551.581.671.751.661.631.631.621.561.551.651.701.841.791.771.751.671.521.461.411.431.551.601.621.531.641.591.611.511.781.801.811.681.691.621.671.761.812.112.021.821.671.661.521.501.561.731.671.681.631.732.031.76
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22.7420.9420.8422.6322.0122.6222.4920.3422.6125.1221.3923.2424.3824.5521.8322.4220.4520.8719.7522.3522.0721.5920.0921.2520.8518.9118.1718.8820.9220.7519.9220.2119.9120.6120.3721.4420.6318.5619.7220.5922.2722.0722.8822.8922.7921.3620.2621.6522.1620.5520.9424.5024.9725.5825.0024.8826.0124.8625.1725.2526.0022.44
13.2410.9011.0512.6413.3712.1812.3910.4512.0215.3210.7512.6813.4813.309.8610.998.4310.088.2711.0611.5810.699.2811.0710.258.087.168.8610.299.528.918.799.448.298.6610.838.847.418.4110.2810.8510.6711.9812.6511.9210.739.3410.2910.527.928.7712.4512.954.6011.969.7113.4612.6712.8112.8613.159.06
13.2410.9011.0512.6413.3712.1812.3910.4512.0215.3210.7512.6813.4813.309.8610.998.4310.088.2711.0611.5810.699.2811.0710.258.087.168.8610.299.528.918.799.448.298.6610.838.847.418.4110.2810.8510.6711.9812.6511.9210.739.3410.2910.527.928.7712.4512.954.6011.969.7113.4612.6712.8112.8613.159.06
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13.2410.9011.0512.6413.3712.1812.3910.4512.0215.3210.7512.6813.4813.309.8610.998.4310.088.2711.0611.5810.699.2811.0710.258.087.168.8610.299.528.918.799.448.298.6610.838.847.418.4110.2810.8510.6711.9812.6511.9210.739.3410.2910.527.928.7712.4512.954.6011.969.7113.4612.6712.8112.8613.159.06
10.199.398.4510.1810.419.809.398.269.4711.468.4210.1911.0410.188.048.726.417.996.328.768.937.847.058.637.836.246.806.156.385.985.495.425.835.205.406.645.444.565.586.376.676.937.257.277.296.775.526.296.314.865.337.548.012.637.068.078.487.557.717.777.885.50
0.440.460.450.450.460.470.440.440.420.410.390.370.360.340.310.310.300.350.350.340.350.480.470.480.520.520.520.530.570.570.540.530.560.580.570.560.590.580.580.580.590.560.600.620.620.610.610.590.600.610.610.630.590.610.620.620.630.620.630.600.560.56
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2.172.132.182.252.262.292.172.092.172.072.372.272.272.252.231.861.922.242.242.062.252.122.342.282.272.212.222.072.192.132.172.122.122.152.222.102.232.122.182.052.172.102.192.192.332.282.472.162.262.122.202.062.102.052.192.112.021.991.951.961.891.87
41.5542.1741.2240.0239.8239.3341.5443.0141.3943.3838.0539.6239.6640.0340.4448.3646.8540.2640.2243.7440.0742.4938.4639.5239.5740.7140.6043.5441.0542.3341.4842.4342.5341.9140.5942.8340.3542.3841.3643.8741.3842.8341.1741.0138.6839.4736.3941.6039.8642.5240.9443.7542.9443.8541.0642.6944.6345.1346.1545.9847.5848.18
8.187.867.328.949.578.998.657.418.129.256.457.187.346.725.425.864.196.194.846.416.586.085.366.736.485.235.975.686.335.764.934.765.335.055.226.485.424.365.245.966.366.597.377.727.536.805.395.535.734.604.937.257.762.666.607.277.806.917.186.786.234.41
9.539.268.7310.7711.7211.0710.769.199.9811.297.868.688.838.166.667.275.237.816.087.988.177.646.768.528.316.847.987.828.948.156.906.607.527.347.709.588.056.467.708.729.369.8611.4112.3711.9611.008.798.599.127.528.1312.0313.174.7111.5612.3313.6712.5213.3712.3110.577.86
4.444.283.844.584.744.614.133.674.024.733.273.783.993.492.492.691.952.822.223.023.133.723.284.134.043.273.523.283.653.392.972.893.293.033.063.733.192.643.233.683.933.894.334.504.504.163.393.693.802.953.264.734.751.614.405.025.364.714.824.644.393.08
8.187.867.328.949.578.998.657.418.129.256.457.187.346.725.425.864.196.194.846.416.586.085.366.736.485.235.975.686.335.764.934.765.335.055.226.485.424.365.245.966.366.597.377.727.536.805.395.535.734.604.937.257.762.666.607.277.806.917.186.786.234.41
15.4114.4613.6613.0012.0911.7811.3411.4311.7912.0912.1712.6012.8412.3311.7311.3011.0210.5610.6510.9411.0010.5010.2810.109.639.058.497.857.407.327.437.477.176.756.536.456.356.326.376.386.256.035.685.365.375.185.065.335.114.884.824.744.564.284.374.384.183.983.833.813.983.73
2.345.724.853.152.114.683.972.251.693.712.771.930.795.204.062.170.854.353.582.471.404.143.582.551.193.262.611.611.132.661.871.040.412.571.851.230.742.121.590.740.462.562.151.330.782.441.941.050.591.531.210.680.641.871.590.990.451.501.050.720.301.10
1.894.043.742.441.823.182.881.491.222.061.751.290.444.253.331.790.652.612.081.540.983.333.032.211.041.811.751.010.851.070.990.490.141.731.250.830.511.030.880.270.241.711.550.910.521.781.530.770.440.540.490.180.351.101.030.610.241.040.700.500.230.71